Senior FP&A Consolidation & Reporting Manager

Acrisure

New York (NY)

On-site

USD 127,000 - 172,000

Full time

12 days ago
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Benefits offered by this job

Health insurance
401(k) plan
Paid time off

Job summary

Acrisure is seeking a Manager of NAI Consolidation & Reporting to lead monthly and quarterly financial packages for North American Insurance. You will stitch inputs from Revenue, Expense and Strategic Finance into a cohesive narrative for senior leaders while ensuring accuracy and timeliness.

The role requires deep knowledge of insurance brokerage, strong storytelling, and the ability to manage multi-source data with executive-ready outputs. On-site in New York.

Qualifications

  • Bachelor's degree in Finance, Accounting, Economics, or related field.
  • 8+ years of FP&A, financial reporting, or corporate finance experience.
  • Deep knowledge of insurance brokerage or financial services, with the ability to interpret financial performance within the industry context.

Responsibilities

  • Own the monthly and quarterly NAI financial reporting package end-to-end — coordinating inputs from the Revenue, Expense, and Strategic Finance FP&A functions and consolidating them into a unified, executive-ready deliverable.
  • Integrate PubCo financial results provided by Corporate Accounting with FP&A variance analysis across Budget, Prior Year, Prior Forecast, and Current Forecast dimensions.
  • Maintain and continuously improve the structure, format, and quality of NAI reporting packages with narrative clarity and visual presentation for senior leadership.
  • Serve as the final FP&A review point before reporting packages are submitted to FP&A leadership, ensuring inputs meet quality and completeness standards.

Skills

Financial storytelling
Cross-functional coordination
Attention to detail
Financial reporting tools
FP&A experience

Education

Bachelor's degree in Finance, Accounting, Economics, or related field

Tools

Excel
Power BI
Anaplan
Adaptive

Job description

Acrisure is seeking a Manager of NAI Consolidation & Reporting to lead monthly and quarterly financial packages for North American Insurance. You will stitch inputs from Revenue, Expense and Strategic Finance into a cohesive narrative for senior leaders while ensuring accuracy and timeliness.

The role requires deep knowledge of insurance brokerage, strong storytelling, and the ability to manage multi-source data with executive-ready outputs. On-site in New York.

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