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Reinsurance Accounting Manager - Cash

Accounting/FinancePosted 20 days 2 hours 34 minutes ago. Viewed: 28 times.

Description

Position Responsibilities:


 



  • Ensure the data in the A/P sub-ledgers is complete, accurate and reliable including:

    • Pay, collect and properly apply balances in a timely and accurate manner.

    • Proper recording of cash calls.

    • Research and resolve all balances > 90 days

    • Develop/implement an effective collections process including an automated cash collection report and dunning letter process.

    • Provide regular status updates to management and ensure proper notification of problems/issues and recommendations for improvement.




 



  • Develop/maintain a Cash Unit Production Calendar that documents the daily cash receipts and disbursements activity for ceded reinsurance balances including staff assignments, supervisor/manager review, completion dates and other data. This tool will be used to communicate management objectives (complete, timely and accurate processing) to the staff.


 



  • Direct and motivate staff. Manage staff development activities.


 



  • Develop timely and accurate cash flow models and related budgets and reports (weekly, monthly and annually).


 



  • Prepare cash flow presentations to matrixed management teams.


 



  • Maintain adequate internal controls for reinsurance accounts including:

    • The timely reconciliation and clearance of activity in the cash clearance accounts.

    • Ensuring on account cash balances are cleared within 30 days.

    • Ensure that reconciliations for all accounts are completed timely (within 45 days after the end of the quarter) and in accordance with corporate policy.

    • Work with teams to develop action plans to remediate reconciling items including the determination of staffing needs and completion timetable.




 



  • Enhance, Develop and Implement Procedural and Internal Control Documentation, including the development of business processes and key controls, including, but not limited to:

    • Controls over intercompany cash settlement process.

    • Key Controls (SOX)

    • Management Controls - PwC/IAD MLCs




 



  • Develop and implement departmental standards, including:

    • Reporting and workpaper requirements.

    • Meeting standards and follow up procedures.

    • Shared file organization and maintenance.

    • Staff training and development initiatives.

    • Support regulatory compliance and audit processes.




 


 


Desired Skills/Experience:


 



  • At least 7-10 years of practical accounting and/or audit experience in the financial services industry


 



  • Staff development and management experience required


 



  • Insurance and/or Reinsurance experience preferred (Statutory and GAAP accounting principles)


 



  • SOX control and GAAP financial reporting experience required


 



  • Accounting and/or Finance degree required; CPA designation preferred


 



  • Systems implementation and/or Project Management experience a plus


 



  • Strong accounting, analysis and reconciliation skills


 



  • Proven team building and leadership skills


 



  • Solid oral and written communication skills


 



  • Advanced Excel skills (Pivot Tables, V Lookup functions)




Industry: Financial Services
Discipline: Accounting & Controls
Experience: 8 - 10 Years
Compensation: $100K
Company: Source One Financial

Contact information



Apply Online at TheLadders.com

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