Job Description: Responsibilities: –The primary responsibilities include ownership of handlings reinsurance cession statements for captive clients. –This includes monthly data balancing, settlements of reinsurance balances –Financial adjustments to ledger, financial reporting, financial systems conversions –monthly reconciliations and monthly/quarterly analytics –Perform accounting functions resulting in accurate and timely financial statements and related reports for senior management. This position will also assist with ad hoc departmental projects.