What can you expect?
You will be responsible for a portfolio of complex clients managing the day to day activities of various captive insurance companies and other clients.
Key Responsibilities:
Prepare financial statements in an accurate and timely manner, including supplemental financial information required by the client
- Building and maintaining relationships with a portfolio of clients so that you become the main point of contact for all client inquiries and questions.
- Clients are international with their own rules and regulations to be familiarized with.
- Reconcile cash and investment accounts. Prepare bank deposits and cash disbursements.
- Organize and complete the annual audit for clients, which can include preparation of regulatory filings and GAAP financial statements
- Ensures legal and regulatory compliance processes and procedures are followed for local accounting and financial reporting.
- Maintain client files in accordance with regulations and best practices
- Correspond with other service providers.
- Prepare board and committee meeting materials and participate in the annual board of directors' meeting and other client meetings.
- Comply with Marsh internal controls and any client specific internal controls
- Perform other job-related duties as assigned.
Qualifications:
- CPA Designation
- 3-5 years equivalent relevant experience on preparation of financial statements, preparation of working paper files, and General Ledger
- Proficient/expert in English along with the local language, only CV's in English will be considered.
- Bachelor of Accounting, Business Administrator, or equivalent
- Ability to excel in a fast-paced, team-oriented environment and the ability to meet tight deadlines.
- Excellent organizational and prioritization skills with strong attention to detail.
- Outstanding interpersonal skills, confidence and communicate effectively with all levels of the organization and with external clients.
- Pro