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- Top-Performing Leader who boasts proven full-cycle accounting, financial reporting, and process optimization success, and who makes decisions to reflect positively on operations in alignment with a company s vision and goals.
- Ambitious Self-Starter who rises above challenges to expertly analyze finances, streamline accounting initiatives, improve efficiency, and drive winning outcomes while thriving on complexity and attaining quantifiable results.
- Excellent Communicator who builds synergistic relationships with C-level executives, senior-level management, financial / business professionals, and clients, and who excels in both autonomous and collaborative environments.
Implemented ImageRight virtual filing system as Staff Accountant for Equity Risk Partners, and further conceptualized, developed, and implemented departmental training materials to maximize staff productivity.
Successfully reconciled bank accounts and prepared revenue tracking reports used by senior-level management.
Collaborated with top-performing IT teams to streamline reporting processes and testing and deploying new accounting systems as Reinsurance Accounting Manager for Endurance U.S. Specialty Services Corporation.
Personally led reduction in unapplied cash from $154,000 at the end of 2007 to only $21,000 by June of 2008.
Assistant Manager Reinsurance Accounting (2016 Present)
Capitalize on the opportunity to lead forward-thinking production of Combined Manager Accounting Control documents, including facilitating summation of business results across all offices and LOB for Stat and GAAP purchases.
Assistant Manager Treaty Accounting (2013 2016)
Utilized broad scope of industry knowledge toward directing reinsurance reporting for Ceded Excess of Loss business (e.g. cash flow management), including preparing, distributing, and allocating profit commissions and premium adjustments in system, as well as preparing quarterly financials for business and year-end Schedule F reporting package.
Exhibited proficiencies in managing internal and external audit requests for related ceded business per key objectives.
Led details-focused full-cycle accounting initiatives for this high-profile retail brand, including optimizing efficiencies by converting and assimilating existing managerial finance reports to a new Excel-based reporting system.
Strategically steered daily revenue recognition process, including facilitating targeted analysis, allocation, and reporting initiatives, and analyzing and reconciling carrier billing statements and invoices to internal accounting systems.
Demonstrated experience in accurately processing carrier payments via wire transfers, check creation, and delivery.
Effectively led resolution of diverse non-routine, complex, and unexpected premium and commission variances, along with continually maintaining confidential information (e.g. pay rates, bonus targets, pay grades) to meet goals.
Reinsurance Accounting Manager ￨ Senior Reinsurance Accountant
Applied strong leadership talents toward directing reinsurance reporting initiatives and coordinating allocation of cash flow, along with leading an IT consultant team in developing financial department reporting needs and protocols.
Proactively researched and mediated aged payable and recoverable balances both internally and externally, along with efficiently resolving wide-ranging billing statement and accounting statement variances with key internal staff.
Contributed sharp analytical abilities toward allocating, evaluating, and adjusting variances between cash receipts and accruals, along with tracking financial data with projections related to fluctuations and overall treaty profitability.
Expertly audited clients for compliance with treaty criteria and validated comprehensive rates and / or allowances, along with following up with clients and account executives to correct discrepancies and update contracts pertaining to new treaties, renewals, cancellations, and rate changes which was instrumental in driving operations success.
Played a vital role in supporting inventory audits, preparing monthly financial reports, and resolving purchase orders, along with accurately documenting account activities, reconciling accounts, and maintaining financial records.
SAP ￨ Procede Software ￨ Microsoft PowerPoint ￨ SharePoint ￨ TIRS ￨ WINGS
Advanced Microsoft Excel (Pivot Tables Vlookups) ￨ Genius ￨ AMS360 ￨ ImageRight
Excellent Professional References Provided Upon Request
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