Job Purpose:
1. Create, construct and run Management Information (MI) reports to ensure products are providing value to consumers whilst achieving the applicable profitability and cashflows for the business
2. Optimise MI provision to the business by developing a thorough understanding of the collective’s operations, controls, systems, payment structures, teams, people and the overall business model
3. Complete accurate and timely financial reconciliations to support the management accounting and reporting processes
4. Utilise financial modelling to reconcile policy sales and claims information with cash received & paid and to produce scheme performance reports, under the guidance of the Head of Commercial Finance (HCF) where applicable
5. Work with the Product Review team to produce financial & non-financial reporting for products & schemes
6. Support the Head of Underwriting by producing ad-hoc analyses, reports and business modelling
7. Business-partner the Head of Claims and claims management team to maximise claims data integrity
8. Support the HCF, CFO and Group Financial Controller in the production of accounting information when required, including liaison with auditors (under the guidance of the HCF where applicable)
9. Support the HCF in managing transactional requirements in conjunction with Finance colleagues
10. Support the HCF in the set-up and management of financial processe...