<p style="text-align:left"><b>Location</b></p><p style="text-align:inherit"></p>Mumbai - 10th Floor, Ventura, Hiranandani Gardens, Powai<p></p><p><b>Business - Real Estate</b></p><p></p><p><span>Brookfield Real Estate Group is one of<b> </b>Brookfield’s primary operating groups. The Real Estate Group is one of the world's largest investors in real estate, with a global portfolio that includes office, retail, multifamily, logistics, hospitality and alternative real estate assets on five continents. The Group owns and operates approximately $</span><span>268 </span><span>billion of assets representing the most iconic properties in the world’s most dynamic markets. We seek to generate value by leveraging our operating expertise and focusing on our core real estate capabilities of leasing, financing, development, design and construction as well as property and facilities management. For more information, visit <a href="https://www.brookfield.com/our-businesses/real-estate" target="_blank"><span><span>https://www.brookfield.com/our-businesses/real-estate</span></span></a>.</span></p><p style="text-align:inherit"></p><p style="text-align:left"><span><span><span><b><span>Brookfield Culture</span></b></span></span></span></p><p style="text-align:inherit"></p><p style="text-align:left"><span><span><span><span>Brookfield has a unique and dynamic culture. We seek team members who have a long-term focus and whose values align with our Attributes of a Brookfield Leader: Entrepreneurial, Collaborative and Disciplined. Brookfield is committed to the development of our people through challenging work assignments and exposure to diverse businesses.</span></span></span></span></p><p style="text-align:left"><br /><b>Job Description</b></p><p style="text-align:inherit"></p><p><b><span style="font-size:14px"> </span></b></p><p><b><span style="font-size:14px">Position Summary - Accounting Manager</span></b></p><p><span style="font-size:14px">Candidate will assist the Finance & Operations team (“FinOps”) with the reporting, accounting and operations responsibilities of the real estate investment funds: </span></p><p><span style="font-size:14px"> </span></p><p><b><span style="font-size:14px">Responsibilities:</span></b><span style="font-size:14px"> </span></p><ul><li><p><span style="font-size:14px">Preparation of, and assisting with the compilation and review of information included in quarterly fund investor reports, which include the financial statements as well as quarterly updates to management, and fund/investment portfolio overview </span></p></li></ul><ul><li><p><span style="font-size:14px">Financial statements prepared in accordance with US GAAP (Fair Value Investment Company Accounting) </span></p></li></ul><ul><li><p><span style="font-size:14px">Preparation and distribution of quarterly investor capital statements </span></p></li></ul><ul><li><p><span style="font-size:14px">Assist finance teams overseeing Brookfield affiliate finance teams with providing quarterly reporting information for the public manager/company, which is on a consolidated IFRS basis </span></p></li></ul><ul><li><p><span style="font-size:14px">Assist in providing information concerning our funds for SEC/regulatory reporting requirements of the publicly listed fund manager/company </span></p></li></ul><ul><li><p><span style="font-size:14px">Assist in providing information/answering requests/questions concerning our funds as requested by investors and other Brookfield teams </span></p></li></ul><ul><li><p><span style="font-size:14px">Review of accounts </span></p></li></ul><ul><li><p><span style="font-size:14px">Assist US tax team and its advisers with providing information we control for purposes of US/State tax reporting / projections / compliance for the fund entities and underlying investors </span></p></li></ul><ul><li><p><span style="font-size:14px">Assist finance teams overseeing Brookfield investment vehicles with interests in the fund with information needed for Canadian tax filing/planning </span></p></li></ul><ul><li><p><span style="font-size:14px">Coordinate with tax teams on withholding proceeds and making related payments for fund entities and/or investors that are subject to income taxes </span></p></li></ul><ul><li><p><span style="font-size:14px">Assist in all investment-related activities of the funds, which includes but not limited to: </span></p></li></ul><ul><li><p><span style="font-size:14px">Coordinating cash movement and assisting with the preparation of related fund flow/cash step schedules </span></p></li></ul><ul><li><p><span style="font-size:14px">Requesting and/or assisting with the execution and settlement of foreign currency trades </span></p></li></ul><ul><li><p><span style="font-size:14px">Requesting drawdown on the fund credit facility line </span></p></li></ul><p><span style="font-size:14px"> </span></p><ul><li><p><span style="font-size:14px">Assist in all partner capital activity of the funds, which includes, but not limited to: </span></p></li></ul><ul><li><p><span style="font-size:14px">Plan, prepare and distribute material related to capital events of the fund (capital call and distributions) </span></p></li></ul><ul><li><p><span style="font-size:14px">Maintain and update fund distribution waterfall model </span></p></li></ul><ul><li><p><span style="font-size:14px">Coordinating cash movement and assisting with the preparation of related fund flow/cash step schedules </span></p></li></ul><p><span style="font-size:14px"> </span></p><ul><li><p><span style="font-size:14px">Credit facility loan administration and compliance </span></p></li></ul><ul><li><p><span style="font-size:14px">Assist with the liquidation of entities related to fund structures of investments that have been sold </span></p></li></ul><ul><li><p><span style="font-size:14px">Calculate and coordinate payment of management fees </span></p></li></ul><ul><li><p><span style="font-size:14px">Review and pay fund expenses, as well as coordinate payment of liabilities due to the fund manager, who serves as a paying agent for the funds </span></p></li></ul><ul><li><p><span style="font-size:14px">Review daily cash reconciliations files prepared by fund administrator and monitor cash balances of all fund entities’ bank accounts </span></p></li></ul><p><span style="font-size:14px"> </span></p><p><b><span style="font-size:14px">Requirements:</span></b><span style="font-size:14px"> </span></p><p><span style="font-size:14px"> </span></p><ul><li><p><span style="font-size:14px">Professional accounting qualification (Charted Accountant/CPA) </span></p></li></ul><ul><li><p><span style="font-size:14px">Minimum 9-10 years of progressive work experience in fund administration and/or relevant fund accounting experience </span></p></li></ul><ul><li><p><span style="font-size:14px">2+ years of team handling experience (officially on the system) </span></p></li></ul><ul><li><p><span style="font-size:14px">Proficiency in Microsoft Excel </span></p></li></ul><ul><li><p><span style="font-size:14px">Detail oriented, with ability to navigate through large data sets efficiently </span></p></li></ul><ul><li><p><span style="font-size:14px">Strong communication (oral and written) skills </span></p></li></ul><ul><li><p><span style="font-size:14px">Team oriented </span></p></li></ul><ul><li><p><span style="font-size:14px">Ability to multi-task with good time management skills </span></p></li></ul><p><span style="font-size:14px"> </span></p><p><b><span style="font-size:14px">Nice to Have:</span></b><span style="font-size:14px"> </span></p><ul><li><p><span style="font-size:14px">Working knowledge of Investran, Workiva </span></p></li></ul><ul><li><p><span style="font-size:14px">Experience with Anaplan</span></p></li></ul><p style="text-align:inherit"></p><p style="text-align:left"><span>Brookfield is committed to maintaining a Positive Work Environment that is safe and respectful; our shared success depends on it. Accordingly, we do not tolerate workplace discrimination, violence or harassment.</span></p><p style="text-align:inherit"></p>We are proud to create a diverse environment and are proud to be an equal opportunity employer. We are grateful for your interest in this position, however, only candidates selected for pre-screening will be contacted.