Head of Reinsurance Accounting
Confidential
Head of Reinsurance Accounting
About the Company
Innovative InsurTech MGA specializing in modernizing specialty insurance through technology
Industry
Insurance
Type
Privately Held, VC-backed
Founded
2021
Employees
51-200
Funding
$51-$75 million
Specialties
- insurance
- specialty insurance
- technology
- and underwriting
About the Role
The Company is in search of a Reinsurance Accounting Manager to join their dynamic team. The successful candidate will be at the forefront of the company's scaling finance function, with a focus on both accounting excellence and the transformative potential of technology in finance operations. This role is pivotal in overseeing reinsurance accounting and reporting, managing reinsurance balances, and modernizing the production and reconciliation of reinsurance statements. The ideal candidate will not only execute processes but also actively seek to improve them, particularly through the use of AI tools and automation to streamline reinsurance accounting workflows. Applicants for the Reinsurance Accounting Manager position at the company should possess a Bachelor's degree in accounting, finance, or a related field, with a minimum of 5-7 years' experience in reinsurance accounting. A strong moral compass, customer-first empathy, intellectual curiosity, and a growth mindset are essential qualities. The role requires a candidate with a solution-oriented outlook, transparent communication, and a team-first energy. Key responsibilities include owning the end-to-end accounting for reinsurance transactions, supporting CECL analysis, preparing statutory reporting, and ensuring compliance with regulatory requirements. The company values individuals who are eager to learn, question the status quo, and are passionate about delivering an exceptional experience.
Hiring Manager Title
Group Controller
Functions
- Finance
- ...relationships are essential. The role requires the creation of scalable financial systems and controls, as well as expertise in reinsurance structures, capital optimization, and insurance-specific financial systems. A CPA, MBA, or advanced degree in actuarial science or...Suggested
$95k - $110k
...Pay exceptions across all bank platforms/accountsPerform daily cash positioning and liquidity management functionsCollaborate with Accounting and Treasury teams to open, maintain, and close bank accountsMonitor and analyze account analysis statements using Kyriba;...SuggestedDaily paidFull timeWork experience placementWork at office$90k - $115k
...has the appropriate liquidity to meet operational needs.Key Responsibilities:* Manage daily cash positioning across multiple bank accounts and entities* Monitor cash balances, inflows, and outflows to ensure adequate liquidity for operational requirements* Prepare and...SuggestedTemporary workBank staff$85k - $125k
...sufficient liquidity to meet the firm’s operational needs.Process and approve banking transactions, including wires, ACH payments, and account transfers, while maintaining complete backup documentation to support audit requirements.Manage banking relationships to ensure...SuggestedFull timeContract workTemporary workWork at officeRemote workShift work- Title:Senior Manager, SEC Reporting & Accounting PolicyWe are KBRWhen you become part of our KBR team, your opportunities are endless. Through internal collaboration, and with our partners and customers, we’re defining tomorrow’s challenges, then providing the innovative...SuggestedFull timeTemporary workLocal areaRemote workRelocation packageFlexible hours
- Real Projectives in Laurel, Maryland seeks a Director of Finance and Accounting to lead the company’s finance and accounting function. You will partner with the CEO and Fractional CFO, driving transformation, improving processes, and building the financial infrastructure...
$38 - $43 per hour
...and procedures.Responsibilities:Prepare and manage daily cash positions, short-term forecasts, and cash flow needs.Reconcile cash accounts and transactions, including wire transfers and ACH payments, with general ledger postings.Track and analyze cash and investment activity...Hourly payContract workTemporary workWork experience placementWork from homeFlexible hours$28.9 - $47.71 per hour
...departments to support treasury activities, enhances processes, and participates in system upgrades. Qualifications Bachelor's Degree in accounting, finance, business administration, or a related field (Required) One year of relevant education may be substituted for one year...Work experience placementLocal area- ...Support day-to-day treasury activities, including cash positioning, cash flow forecasting, and liquidity monitoring Assist with bank account administration and related documentation Prepare treasury reports and schedules to support leadership and proposal requirements...Interim role
$85k - $125k
...sufficient liquidity to meet the firm's operational needs. Process and approve banking transactions, including wires, ACH payments, and account transfers, while maintaining complete backup documentation to support audit requirements. Manage banking relationships to ensure...Temporary workWork at officeRemote workShift work- ...Responsibilities: - Prepare and manage daily cash positions, short-term forecasts, and cash flow needs. - Reconcile cash accounts and transactions, including wire transfers and ACH payments, with general ledger postings. - Track and analyze cash and investment...Temporary workLocal area
$90k - $110k
...Senior Treasury Analyst based in North Bethesda, Maryland. This position is part of the team responsible for treasury management and accounts payable, and will primarily focus on supporting the Senior Manager with daily treasury and cash management functions. The role...Temporary workWork experience placement- GoIntellects Inc. is seeking a Treasury Analyst in Washington, DC. The successful candidate will manage cash flow, conduct financial analysis, and prepare detailed reports. This hybrid position is open to local DMV candidates only and requires 2+ years of treasury experience...Local areaWork from homeFlexible hours
$92.5k - $125k
...serves as a primary point of contact for day-to-day cash management inquiries from internal stakeholders, banking partners, and the Accounts Payable team.* Monitor and manage daily cash positions across multiple bank accounts and platforms, preparing and maintaining cash...Bank staffWork at officeFlexible hours3 days per week- ...procedures. Key Responsibilities Prepare and manage daily cash positions, short-term forecasts, and cash flow needs. Reconcile cash accounts and transactions, including wire transfers and ACH payments, with general ledger postings. Track and analyze cash and investment...Temporary workWork from homeFlexible hours
- ...maintains budget controls across grants and funding streams. The position requires 4+ years in nonprofit budgeting, a finance or accounting degree, and a hybrid work arrangement. Competitive salary range reflects experience and location. #J-18808-Ljbffr Ocean Conservancy
$161.93k - $269.88k
...The Senior Manager will play a key role within our Capital Markets Transactions (CMT) group within Assurance--> Technical Accounting & Reporting. We are seeking professionals who want to build off their IPO and transactions experience to oversee complex engagement...Work at officeLocal areaRemote workVisa sponsorship$90k - $100k
...strong collaborative skills and a high level of emotional intelligence. EDUCATION/TRAINING Bachelor's degree in Finance or Accounting, or equivalent experience. COMPENSATION Ocean Conservancy is committed to fair pay practices and posts expected salary...Full timeWork at officeLocal area- World Bank Group in Washington, DC is seeking a Financial Analyst to support Treasury Client Solutions and Asset & Liability Management. The role focuses on analytical rigor, data quality, and cross-team collaboration to deliver high-impact financial insights. You will ...
- We are always seeking talented, motivated, growth-minded, and creative individuals. Our firm is committed to providing employee support and advancement, while embracing inclusion and innovation as keys to a stronger future. We invite you to explore the position below and...
$95k - $105k
JBG Smith is seeking a Senior Treasury Analyst in Bethesda, MD. The role involves managing daily cash operations, payment processing, and enhancing a Treasury Management System. Candidates should have a Bachelor's in Finance, 5+ years in cash management, and strong skills...Daily paid- AHU Technologies Inc is seeking a Treasury Analyst contractor to manage cash flow, investments, and financial reporting. The role emphasizes Excel proficiency and sharp communication to support senior leadership. You will handle daily cash positions, forecasts, reconciliations...Remote jobContract workFor contractorsFlexible hours
- GoIntellects Inc. is looking for a Treasury Analyst to manage daily cash positions and support treasury operations in Washington, DC. The role involves financial analysis, reporting, and maintaining databases. Ideal candidates will have a Bachelor's degree in Finance or...
- ...upload to ERP, and analysis, to enhance fiscal responsibility and accountability. Collaborate closely with internal departmental... ...annual Financial Plan (Potluck). Train and educate Departmental Heads and/or budget owners. Prepare and distribute monthly and quarterly...
- ...operations, cash management, banking relationships, payment processing, and internal controls. This role will work closely with Treasury, Accounting, Accounts Payable, and banking partners to ensure accurate and efficient cash and payment activity across the organization. Key...Temporary work
- Advanced American Technologies, Inc. seeks a Treasury Analyst for a hybrid position based in Washington, DC. In person interviews are required. Length is 12 months plus, with a focus on Excel proficiency and strong communication. The role involves cash flow management, ...
$45 - $60 per hour
A financial services firm in Washington, DC/Baltimore is seeking a Junior Treasury Analyst to support treasury operations. The position involves cash flow forecasting, cash positioning, and reporting duties in a hybrid work environment. Ideal candidates should have 2-5 ...Permanent employmentContract workInterim role- The Senior Treasury Analyst at Troutman Pepper Locke LLP is responsible for managing the firm’s treasury operations, including cash management, banking activities, and liquidity planning. The role monitors cash positions, reviews banking transactions, and ensures accurate...
$114k - $144.5k
...driving cross-functional inputs (e.g. Commercial, Supply Chain, etc.) included. US GAAP and External Reporting: work with Corporate Accounting to publish "supplemental external metrics" as part of quarterly earnings release covering various financial and operational...Full timeVisa sponsorshipWork visa- ...to operational excellence enable us to support the business at every stage of its evolution.About the RoleThe Senior Manager, Tax Accounting is responsible for supporting the company’s U.S. tax accounting function, including the preparation and review of income tax...Full timeTemporary workLocal areaRemote workRelocation packageFlexible hours
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