Senior Associate, Investment Accounting
Fortitude Reinsurance Company Ltd. (Fortitude Re) is one of the world’s leading providers of legacy reinsurance solutions. They work with the world’s leading insurance companies to help them execute comprehensive, transformational solutions for legacy Life & Annuity and P&C lines. Fortitude Re manages a general account of approximately $111 billion across life, annuity, and property & casualty insurance products. The company takes a long-term view on growth and is proud to be backed by a consortium of sophisticated institutional investors led by The Carlyle Group and T&D Insurance Group. Incorporated under the laws of Bermuda on January 1, 2017, Fortitude Re’s roots in the insurance industry and the experience of their leadership go back many decades. Fortitude Re’s leadership team has an average industry tenure of over 20 years, and an impressive track record of successfully managing the most complex legacy liabilities. Their deep insurance experience and proprietary risk modeling capabilities allow them to structure bespoke transactions that benefit both insurance companies and their policyholders. Fortitude Re continues to strengthen its ability to pursue further growth and provide innovative solutions for the global insurance industry. Click here for more information about Fortitude Re. The Senior Associate of Investment Accounting is responsible for the compilation of monthly and quarterly investment data for Fortitude Re which includes the analysis of net investment income, realized gains and losses, investment yields, investment balances by asset class, etc. This position will be involved in recording activity into the GL, reconciliations, audit support, and ad hoc projects as the company acquires more blocks of business. This position will report to the VP, Derivative Accounting, and provides the opportunity for professional development and career advancement. What You Will Do: Support the accounting close process, including preparation of journal entries and corresponding balance sheet reconciliations for both GAAP and STAT bases of accounting. Perform detailed analytical review of investment income, yields, fair value changes, and realized/unrealized gains and losses. Support quarterly and annual statutory and GAAP investment disclosures and footnotes. Assist in implementation and onboarding of new investment portfolios related to block acquisitions. Support regulatory filings and ad hoc requests related to Bermuda Monetary Authority (BMA) requirements. Execution of internal control procedures over a diverse asset class mix including derivatives, fixed income securities, equities, commercial mortgage loans, private equity, hedge funds, and real estate. Provide detailed investments data for Economic Balance Sheet calculations and Bermuda reporting. Work with Fortitude Re’s investment accounting platform...