Reinsurance Accountant: Reporting & Analysis

Kuvare

Baton Rouge (LA)

On-site

USD 65,000 - 90,000

Full time

3 days ago
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Job summary

Kuvare is seeking an Intermediate Reinsurance Accountant in Baton Rouge, LA to ensure timely and accurate recording of reinsurance transactions, prepare reconciliations, and support management reporting.

You will prepare settlement statements, review premium trends, coordinate with external clients and TPAs, and assist with regulatory schedules and ad hoc requests while upholding internal controls and deadlines.

Qualifications

  • Bachelor’s degree in accounting/finance or equivalent experience.
  • Understanding of reinsurance administration or ability to grasp concepts quickly.
  • Strong organizational skills with high attention to detail.
  • Excellent interpersonal, verbal communication and proofreading abilities.
  • Flexible self-starter who can prioritize tasks and meet deadlines.

Responsibilities

  • Prepares accounting & reporting for Reinsurance incl. review of billings and premium trends.
  • Prepares journal entries and posts to accounting systems; clears suspense promptly.
  • Prepares monthly direct and ceded claims reconciliations from TPAs to GL and data warehouse.
  • Assists with quarterly reserves and coordination with actuarial review.
  • Performs data queries on claim, premium, and expense data.
  • Contributes to quarterly Management Reporting Package and ad hoc requests.
  • Ensures adherence to internal control framework.
  • Prepares regulatory schedules at year end (Schedule S, EX1, EX8, Schedule T).
  • Supports client inquiries, audits, and external communications.

Skills

Data mining
Spreadsheets automation
Reinsurance knowledge
Attention to detail
Communication skills
Independent / self-starter
Time management

Education

Bachelor’s degree in Accounting/Finance

Tools

TAI

Job description

Kuvare is seeking an Intermediate Reinsurance Accountant in Baton Rouge, LA to ensure timely and accurate recording of reinsurance transactions, prepare reconciliations, and support management reporting.

You will prepare settlement statements, review premium trends, coordinate with external clients and TPAs, and assist with regulatory schedules and ad hoc requests while upholding internal controls and deadlines.

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