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Associate operations – private wealth

London
Posted: 12 January
Offer description

Location London - One Canada Square, Level 25 Business - Private Wealth Brookfield is one of the world’s largest alternative asset managers, with a 100 year heritage of owning and operating assets and businesses that form the backbone of the global economy. Through its broad platform, the firm offers investment strategies across real estate, infrastructure, renewable power and transition, private equity, and credit. 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. Brookfield Culture 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. Job Description Associate Operations EMEA / APAC The Firm is seeking to add to its Platform Operations team in its London office. The Platform Operations team is responsible for managing: (1) the operational onboarding of new client relationships for products distributed by private wealth group, and (2) the operational oversight of private wealth fund platforms consisting of semi-liquid and closed-ended strategies (UCI Part II, Cayman, Australian Unit Trust). This individual will work on projects across the various funds supported by Platform Operations with a focus on client onboarding, creation of new processes and process improvement, automation, data mapping, and strategic project management. The individual will interact regularly with sales, product, legal, fund finance, Platform Operations [NY], technology, and senior management. Responsibilities: Assist with ongoing design and development of a scalable and robust operating model, and the ongoing management of the day-to-day investment operations for private wealth [APAC and EMEA] products. Sales Support Assist private wealth [APAC | EMEA] sales team to deliver a gold standard customer journey during initial pre-onboarding queries through to onboarding with the Transfer Agent. Support the sales and fundraise teams in due diligence processes with operational expert knowledge. Client Onboarding Work with our Transfer Agents to ensure the successful onboarding of new clients, including helping to manage AML/KYC processes along with any bespoke requirements. Coordinate with the AIFM of the Funds to help facilitate the subscription process across the platforms. Operational Oversight Conduct oversight of the Transfer Agent and technology fund platforms (e.g. iCapital) as it relates to investor onboarding, transaction management and internal reporting, ensuring SLAs are met, and maintaining a high level of service for clients. Work with our Distribution Partners, Wealth Platforms, and other external stakeholders to manage ongoing data and reporting requirements for clients. Liaise with Platform Operations [NY] and Fund Administration teams [Chicago] to assist with cash management processes between our Funds, and other entities within each Fund’s structure. Work with Fund Administration to assist in the review of trail fee and placement fee payments, Coordinate with our distribution partners to ensure the accuracy and timeliness of relevant inputs and reports. Processes and Procedures Maintain core operational and onboarding process documents with a process of regular review and update. Data and Reporting Work with Global Business Intelligence and Strategy to manage and oversee private wealth International [APAC | EMEA] data flows, and regional mapping. Coordinate investor level tax reporting for relevant jurisdictions [based on investor demand]. Coordinate the creation and maintenance of regulatory marketing and distribution documents. Liaise with third party vendors [e.g. SIX Financial Information, Fundinfo FE] to ensure proper distribution of fund data and NAVs. Qualifications & Requirements Bachelor’s degree including at least 4-6 years’ experience in a fund finance or fund operations role. Experience working with Luxembourg fund structures is preferable. Proven ability to learn quickly and prioritize multiple projects. Strong technical skills that can contribute to automation and process improvement. Strong interpersonal skills, with the ability to work well in a team environment. Strong oral and written communication skills. Excellent critical thinking and organizational skills. Energetic and willing to get involved where needed. Proficiency with Microsoft Office (Outlook, Word, Excel, and PowerPoint). Proficiency with Salesforce or similar CRM software is preferable. Exceptional attention to detail, placing a high priority on accuracy. Strong analytical, project management and time management skills. LI-GJ1 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. 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.

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Associate operations – private wealth
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