• Share :

Chief Financial Officer - Washington, DC

Our retained client - a profitable and stable insurance company serving large corporations and institutions across the US - is seeking a new Chief Financial Officer.

Role Overview :

The Chief Financial Officer ("CFO") serves as a strategic financial leader and trusted business partner to the Company's President, Executive Management team, and Board of Directors. The CFO oversees and manages all financial, accounting, treasury, and operational/administrative functions of the Company, serves as an integral member of the Company's four-person senior management team, and plays an important role in communicating with, and presenting to the Board of Directors, particularly its Audit and Investment Committees.

Role Scope:

The CFO is responsible for the development, implementation, and monitoring of the finance function, team, and control systems designed to ensure that the assets of the Company are properly safeguarded, and that financial results are reported accurately. Specific responsibilities include:

Financial Reporting, Tax Filings, and Annual Audits:

Ensure accuracy and timely composition of requisite financial reports, tax filings, and annual audits, including:

Providing technical accounting and financial advice or knowledge as staff prepares and files the Company's quarterly and annual statutory and GAAP financial statements
Overseeing the preparation and filing of the Company's federal, state, and local income tax, and other tax returns (including premium taxes payable in multiple states); and
Overseeing the annual audit of the Company's financial statement by independent auditors (including negotiation of annual audit and tax preparation fees)

Treasury and Investment Operations

:

Ensure appropriate oversight and execution of treasury and investment operations, including:
Establishing and maintaining of all banking relationships (e.g., operating accounts for the parent company and two subsidiaries, trust and custody accounts, and accounts with the Federal Home Loan Bank of Boston
Monitoring of cash balances to ensure efficient use and availability of cash
Arranging, on an as-needed basis, for temporary funding of large claims payments (i.e., through loans from the FHLB, or reverse repurchase agreements)
Monitoring of accounts receivables and payables to ensure timely receipt and payment of funds
Acting as chief liaison to the Company's outside investment managers and investment consultant
Working with the Investment Committee of the Board to develop appropriate investment guidelines for the Company's investment portfolio (including developing a strategic allocations between asset classes), and monitoring performance and making recommendations for changes in investment guidelines where appropriate
Coordinating responses to matters raised during Investment Committee meetings; and
Reviewing overall investment portfolio and investment transactions for compliance with investment guidelines and reviewing portfolio securities for possible impairments.

Management Reporting & Budgeting


Design and coordinate monthly and quarterly reporting materials for senior management. Oversee annual budgeting process and periodic forecasting.

Cost Control


Monitor costs to ensure efficient use of resources.
Identify opportunities for cost/expense savings and operational efficiencies.

Case and Actuarial Reserves


Understand the Company's policies and procedures for establishing appropriate loss reserves. While the Company's General Counsel and independent actuary establish case reserves, the CFO should understand the related financial reporting and audit implications.
Financial Liaison


Act as the Company's financial liaison to outside interested entities and agencies, including the Vermont Department of Financial Regulation, the National Association of Insurance Commissioners, FHLB, and A.M. Best.
Finance Leadership


Lead, develop, motivate, and retain a high performing accounting and finance team.

Operations, IT, Human Resources & Administration

In addition to direct oversight of the Company's Finance Department, the CFO is responsible for day-to-day oversight and management of the Company's general operations and administration.
Specific responsibilities include:

Oversee all information technology and information systems used Company-wide, including coordination and oversight of the work of the Company's Director of Information Technology.
Oversee and direct HR issues
Actively participating in the development of employee guidelines and employee benefit programs
Managing employee benefit plans (including major medical, pension, 401(k)
Serving as a fiduciary for Company's retirement plans; and
Maintaining employee records
Negotiating leases for office space and equipment
Acting as a liaison with the Company's sponsoring organization
Working with outside insurance brokers to obtain appropriate insurance coverages

Experience Desired/Qualifications:

Fifteen (15) or more years in accounting and financial management functions
Exposure to or experience from insurance or, more broadly, financial services industries is strongly preferred.
A Bachelor's Degree in Accounting, Finance or Business (or related) is preferred.
A Certified Public Accountant certification is required.
A Master's Degree in Finance or Business Administration is preferred (and/or commensurate work experience).
Should be able to offer experience and the confidence to analyze, understand, and act on issues related to operating a niche insurance operation, including ensuring accurate and complete accounting.
Must offer and display excellent communication skills and a proven ability to be a team player, and collegial co-worker.
Prior experience in managing and developing a small staff is preferred (5+ years).

Technical Skills


Financial Planning & Analysis skills and experience - budgeting, forecasting, variance analysis, modeling, cash flow analysis (required)
Financial Reporting knowledge
Knowledge of insurance accounting (GAAP and statutory) and the ratings and regulatory environments (preferred)

Licenses and Certifications


Certified Public Accountant (CPA) or a Masters-level Degree in Finance, Business or related, is required.
A Certified Financial Analyst (CFA) charter holder will also be considered.

Compensation, Culture & Benefits:

Competitive Base Salary ($275-325k) depending on experience
Annual target bonus of 25%
Company culture is welcoming, collaborative, interdependent, transparent and diligent
Position is three days in-office, location in downtown Washington, DC
Generous benefits summary

IND 123

Read the full job description and apply online on the recuiter's web-site

Find Jobs Hiring Now Near You!

Get Jobilize Mobile App

Get Jobilize Job Search Mobile App Now

Receive real-time job alerts and never miss the right job again

Get it on Google Play Download on the App Store
Staff Accountant-Costpoint

Cordia Resources by Cherry Bekaert

  • US - US

  • January 5, 2025


Cordia Resources is seeking a detail-oriented Staff Accountant that will be supporting a government contracting client. The ideal candidate will have experience in accounting operations, including accounts payable, accounts receivable, and month-end reconciliations, with a strong working knowledge...


Chief Financial Officer

Cordia Resources by Cherry Bekaert

  • US - US

  • January 14, 2025


Chief Financial Officer - Washington, DC • Our retained client - a profitable and stable insurance company serving large corporations and institutions across the US - is seeking a new Chief Financial Officer. • Role Overview : • The Chief Financial Officer ("CFO") serves as a...


Business Process Consultant

Cordia Resources by Cherry Bekaert


Job Title: • Business Process Consultant • Location: • Tallahassee Preferred - 3 Days Onsite, 2 Days Remote • Contract Duration: • 1 Year with 2 Option Years • Start Date: • January 1, 2025 • Pay Rate : $73/hr. • We are seeking a skilled Business Process...


Interim Controller

Cordia Resources by Cherry Bekaert

  • US - US

  • December 31, 2024


Location - Lorton, VA • Industry: • Construction & Building Services (construction industry experience highly preferred) • Temporary Pay : Market • Hours per week: • 24 hours to start (Monday, Tuesday, Wednesday) • Duration of project: • 3+ months • Is...


Tax Manager

Cordia Resources by Cherry Bekaert


Cordia Resources by Cherry Bekaert is partnered with a global renewable energy company who is looking for an experienced Tax Manager to lead and manage multiple operations of the tax practice area and to deliver quality tax services, that will increase firm's reputation. • You will serve as business...


Senior Accountant-Construction

Cordia Resources by Cherry Bekaert


Cordia Resources is seeking a Senior Accountant with a proven track record for our construction industry client. If you are detail-oriented, excel in a fast-paced environment, and have a knack for financial analysis, we want to meet you! • Key Responsibilities: • • Month-End Close: Manage and...


Senior Accountant

Cordia Resources by Cherry Bekaert

  • US - PA - Ardmore

  • January 4, 2025


Amazing opportunity for a direct-hire, Senior Accountant with a fast-growing Renewable Energy client just outside of Philadephia, PA! This position will report into a great Controller with lots of industry experience, and be integral in the continued growth story of this great client. This is ideal...