Senior Investment and Financial Reporting Accountant
Location: Orlando, FL (Remote options available for East Coast residents)
Salary: $125,000 - $150,000 per year
Join a high-performing insurance program management company with an A rating, partnering with managing general agents across over 70 programs. Our client manages over $2.1 billion in gross premium annually and operates in Europe, the UK, and the US.
Job Purpose: The Senior Investment and Financial Reporting Accountant will support the Finance Department with consolidation, reporting, investment, financial planning & analysis, and treasury activities across the group. This role is essential to maintaining accurate financial statements and contributing to investment strategy within the organization.
Key Responsibilities:
- Prepare consolidated group financial statements and accompanying notes under US GAAP.
- Develop and review US GAAP accounting memos and journal entries.
- Conduct reconciliation of underwriting accounts from the general ledger to source documents.
- Review investment reconciliation and ensure alignment between the general ledger and Clearwater reports.
- Provide analysis and communicate accounting results to management.
- Ensure compliance with documented accounting and reporting processes, policies, and controls.
- Manage relationships with internal and external auditors, fulfilling requests for GAAP and statutory reporting.
- Drive process improvements to increase efficiency in financial statement support and footnote detailing.
- Lead or support investment accounting projects.
- Establish and enforce internal controls to safeguard company assets, policies, and workflows.
- Stay updated on and ensure compliance with relevant accounting rules, regulatory standards, and internal controls.
- Support investment strategy development and provide recommendations in alignment with company guidelines.
- Assist in providing investment data for managers and potential managers to ensure compliance with regulatory and internal guidelines.
- Evaluate and rationalize investment managers, custodians, and associated fees.
- Prepare appraisals, schedules, reports, and other materials for internal or external use.
- Coordinate with multiple departments, including Underwriting, Finance, Capital, and Legal.
- Attend audit and risk committee meetings.
- Oversee local liquidity management and coordinate capital movement within the group.
- Oversee internal loan documentation and liaise with the group controller on banking covenants.
- Collaborate with banking partners on liquidity products and solutions.
- Assist periodically with financial planning and analysis (FP&A) functions.
Skills & Qualifications:
- Strong understanding of investment products and accounting treatment for various asset classes (fixed maturity, equity, cash equivalents, alternative investments).
- Advanced knowledge of US GAAP, especially in producing financial statements.
- Proficient in Microsoft Excel, including pivot tables and data analysis functions.
- Familiarity with capital, debt, and currency markets.
- Understanding of investment KPIs and ratios.
Education & Experience:
- CPA, ACCA, ACA, or equivalent certification required.
- Bachelor’s degree in Accounting or Finance.
- Minimum of 2 years of experience in P&C insurance.
- 5+ years of experience in financial reporting under US GAAP; Big 4 background preferred.