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Finance Manager, North America

Posted December 19, 2025
Full Time

Job Overview

Finance Manager, North America
 
Bermuda/ North America – Remote/East Coast Preferred [also available in Bermuda]
 
Full-Time 
 
We are a fast-growing global reinsurance speciality company servicing the insurance markets of Lloyd’s, Europe and North America.
 
In recent years, we have been expanding our North American operations, which includes integrating an exceptional new Claims team.
 
As a result of this growth, we are seeking an additional hands-on Finance Manager to report to our Group Head of Strategic Finance. This position will play a key role in the financial operations of Compre’s North American entities within an acquisition-driven and legacy reinsurance environment. 
 
This is a hands-on position requiring strong technical expertise, experience in financial reporting, and the ability to work collaboratively across Finance, Actuarial, and Underwriting. The role is to assist with accurate financial accounting and reporting under US Statutory principles, and the successful integration of new acquisitions into Compre’s finance function.

Key Responsibilities

Financial Reporting & Regulatory Compliance
·        Assist the team with the preparation of US Statutory accounting and reporting
·        Prepare financial and management reporting packs and Board materials.
·        Ensure timely, accurate, and compliant submissions across all jurisdictions.
 
Acquisition Integration & Special Projects
·        Support the integration of newly acquired portfolios and entities into Compre’s financial framework.
·        Design, implement, and improve processes and controls to ensure efficient accounting operations.
·        Lead finance-related initiatives to streamline reporting, regulatory compliance, and system upgrades.
 
Audit, Risk & Controls
·        Coordinate internal and external audit processes, providing accurate documentation and explanations.
·        Maintain strong internal controls in compliance with the internal framework.
·        Proactively identify risks in accounting processes and implement corrective actions.
 
Business Partnering
·        Work closely with actuarial, claims, underwriting, and treasury teams to provide financial insight.
·        Collaborate with Group Finance to support consolidated reporting and group-wide initiatives.

Candidate requirements

·        Must hold a CPA, ACA or ACCA certification or equivalent, with a minimum of 6 years of post-qualification experience in the (re)insurance industry. 
·        Experience reporting to the Group finance team operating in European time zones. 
·        US Statutory Annual Statement experience is required. 
·        Experience with Solvency II and BMA reporting is a distinct advantage. 
·        Experience with a GL system of Oracle and/or SUN General Ledger is advantageous. 
·        Capable of effective problem-solving and exercising sound judgment. 
·        Strong mathematical and analytical skills 
·        Proven ability to handle multiple projects simultaneously

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