• Prepare Monthly Client Reporting and Analytical Schedules including underwriter reporting
• Prepare and interpret reinsurance financial results for multiple domestic and international clients
• Review claims forecast and loss development patterns to ensure adequate reserves are maintained
• Maintain Operational Results Templates and prepare journal entries for Domestic and International Captives
• Prepare and Review General Ledger reconciliations
• Enhance the documentation of key internal controls and procedures.
• Prepare monthly GAAP and Statutory reporting for both Domestic and International Captives
• Identify best practices and create ideas for process improvements.
• Assist external and internal auditors with providing schedules required for various audits of financials and reporting
• Support Program Management/Client Services with Ad-hoc projects and inquiries
• Enhance process efficiency and accuracy through automation
• Participate in ad hoc projects concerning finance activities
• Performs ad hoc activities and tasks as required