Reviewing and challenging the Syndicate underwriting results, working closely with the Finance Business Partners.
Review the reserves in conjunction with the Actuarial Department to ensure completeness and accuracy.
Producing commentary for senior management around the Syndicate results, reviewing late adjustments, bridging analysis, group balance sheet analytics and COB reviews on a quarterly basis.
Overseeing and providing data into the annual Statement of Actuarial Opinion (SAO), UK Tax and US Level II returns.
Assist in the monthly and quarterly close process, including preparation and posting of underwriting and non-underwriting journals for the Syndicates for submission to the (Re) / Insurance Finance Director, senior European (EO) management and Group.
Ensure the statutory books and records are properly maintained in accordance with QBE Accounting policies and market best practice and the balance sheet appropriately reflects the Syndicate position.