Job Description
This role supports the key objectives of the Syndicate Finance Department to delivery accurate, meaningful and timely financial information for our entities within the Aspen group in accordance with agreed standards and deadlines.
- Ensure that internal timetables are monitored and updated as and when tasks are completed.
- Assist in production of consolidation reporting to Group
- Assist in the production of entity management information for submission to Group team.
- To ensure no errors in completion of returns
- To highlight areas for further review / approval
- To respond on a timely basis when reviewing offshored transactions posted by the team
- Assist and respond to queries from internal and external auditors
- Prompt and timely responses
- Regular communication with manager
- Develop an understanding of the market and all aspects of reporting undertaken within the team
- Highlight to management any issues affecting completion of the returns