Brookfield Properties

Assistant Vice President, Funds Legal and Regulatory

Brookfield Properties$120K — $165K *
Legal & Accounting
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree or higher
  • 3-5 years of compliance or audit experience at an investment adviser or paralegal experience within asset management at a top law firm
  • Attorneys with 3-5 years of relevant experience considering a transition to compliance are welcome
  • Preferred experience in asset management, capital markets, private equity, or financial services
  • Knowledge of key regulatory acts (Investment Company Act, Investment Advisers Act, etc.) is beneficial
  • Background in Anti-Money Laundering compliance is a plus
  • Demonstrated ability to analyze evolving regulatory requirements

Responsibilities

  • Assist in developing and implementing compliance policies for US and international Wealth Vehicles
  • Oversee internal and third-party service providers for Wealth Vehicles
  • Screen Brookfield's sales intermediaries related to Wealth Vehicles
  • Monitor Anti-Money Laundering controls at fund service providers
  • Conduct compliance policy reviews and testing
  • Monitor trading activity against regulatory and contractual requirements
  • Review marketing materials for regulatory compliance

Benefits

  • Positive work environment focused on safety and respect
  • Short-term incentive program based on performance
  • Opportunities to collaborate across various teams within Brookfield
  • Support for professional growth and development
  • Commitment to workplace diversity and inclusion
Full Job Description
Location

Brookfield Place New York - 225 Liberty Street, Suite 3501

Business - Private Wealth

Brookfield's private wealth team extends these capabilities to intermediaries worldwide, partnering with financial advisors to provide institutional-quality investment opportunities and differentiated insights that support long-term objectives.

Job Description

Assistant Vice President, Funds Legal and Regulatory Team

The Firm is seeking an Assistant Vice President to support its Funds Legal and Regulatory Team in New York. The Team provides legal and compliance expertise for funds oriented toward the wealth market, including vehicles registered under regulatory regimes around the world and certain unregistered funds. This role will support regulatory matters affecting Brookfield's Wealth Vehicles, work with registered investment advisers and business units across the broader Brookfield organization and help advance Brookfield's continued growth in the wealth marketplace. The candidate will be a key member of the Funds Legal and Regulatory Team and will regularly interact with investment, distribution, finance, fund accounting, client service and operations professionals across Brookfield.

This role is responsible for supporting the legal and regulatory framework for Brookfield's private wealth fund platform, with a focus on registered and unregistered Wealth Vehicles offered across U.S. and international markets. The Assistant Vice President will help translate regulatory requirements into practical controls, coordinate with internal stakeholders and service providers, and support the ongoing oversight of fund operations, filings, distribution activity, and compliance testing.

Responsibilities:
  • Assist in developing, drafting, enhancing, implementing, and monitoring compliance with applicable policies and procedures involving both US and internationally domiciled Wealth Vehicles
  • Conduct ongoing oversight of internal and third-party service providers to the US and internationally domiciled Wealth Vehicles
  • Assist with the ongoing screening of Brookfield's network of sales intermediaries for its Wealth Vehicles
  • Perform ongoing oversight of Anti-Money Laundering controls at various fund service providers in connection with Wealth Vehicles
  • Conduct in-house reviews to test relevant compliance policies and procedures
  • Monitor fund trading activity against restricted lists, investment restrictions and other contractual and regulatory requirements, and prepare appropriate reports.
  • Review marketing materials for regulatory compliance as needed
  • Assist with the preparation of regulatory filings for Wealth Vehicles
  • Draft responses to client questionnaires and checklists, and requests for proposals (RFPs) and requests for information (RFIs) related to Wealth Vehicles


The ideal candidate will be intellectually curious, detail-oriented, and comfortable working across legal, compliance, operations, finance, distribution, and client-facing teams. The role requires sound judgment, strong follow-through, and the ability to manage recurring oversight responsibilities while responding effectively to emerging regulatory and business priorities.

Qualifications and Requirements:
  • Bachelor's or higher-level degree
  • 3-5 years of compliance- or audit-related experience at an investment adviser, or an equivalent period of paralegal experience within an asset management practice at a top-tier law firm
  • Serious consideration will be given to attorneys with 3-5 years of relevant experience who are considering transitioning to a compliance role
  • Experience working in the asset management, capital markets, private equity, securities or financial services industries is preferred
  • Working knowledge of the Investment Company Act of 1940, the Investment Advisers Act of 1940, the Securities Act of 1933, the Securities Exchange Act of 1934, and related regulatory requirements is a plus
  • Background in AML Compliance is beneficial
  • Demonstrated ability to stay current with, and analyze regulatory and compliance program requirements
  • Strong client orientation with excellent interpersonal and communication skills
  • Ability to establish priorities, manage multiple assignments, meet competing deadlines, and work effectively in a fast-paced, collaborative environment
  • Ability to demonstrate efficient time management and self-discipline
  • Organized, thorough, and detail oriented
  • Ability to collaborate effectively with legal, compliance, operations, finance, distribution, and business teams across Brookfield on fund, business, and regulatory initiatives


Salary Range: $120,000 - $165,000

Our compensation structure is comprised of a base salary and a short-term incentive program (cash bonus). Cash compensation tends to vary based on geography to account for local market conditions and is set to be market competitive. Compensation decisions are based on a number of factors including relative experience, overall years of experience, industry experience, education and designations.

Brookfield is committed to maintaining a Positive Work Environment that is safe and respectful; our shared success depends on it. We do not tolerate workplace discrimination, violence or harassment.

About Brookfield Properties

Brookfield Properties is a global real estate company that owns, develops, and manages premier properties in major cities around the world. The company's portfolio includes office, retail, multifamily, and industrial properties, as well as hospitality and entertainment venues. Brookfield Properties is committed to sustainability and has implemented a number of initiatives to reduce its environmental impact. The company is headquartered in New York City and has operations in North America, Europe, and Asia.
Learn more about Brookfield Properties
Size
2,000 employees
Industry

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