Marsh Captive Solutions Full Time - Charleston

Marsh McLennan•Charleston, SC
•Hybrid

About The Position

Responsible for a portfolio of clients and managing the day to day activities of those captive insurance companies. Prepares financial statements in an accurate and timely manner, including supplemental financial information required by the client. Be familiar with international clients' unique rules and regulations. Reconciles cash and investment accounts. Prepare bank deposits and cash disbursements. Assists in the completion of the annual audit for clients, which can include preparation of regulatory filings and GAAP financial statements. Helps ensure legal and regulatory compliance processes and procedures are followed for local accounting and financial reporting. Maintains client files in accordance with regulations and best practices. Learns and develops client and third party providers relationships. Corresponds with other service providers. Including reviewing, analyzing and discuss any reports provided by the service providers (eg. actuaries, auditors, claims handlers, etc) Prepares board and committee meeting materials and participate in the annual board of directors' meeting and other client meetings. Performs other job-related duties as assigned. Complies with Marsh internal controls and any client specific internal controls. For U.S. colleagues only, click here to review additional responsibilities and our reasonable accommodations standards.

Requirements

  • Familiarity with international clients' unique rules and regulations.
  • Ability to learn and develop client and third-party provider relationships.
  • Ability to correspond with other service providers.
  • Ability to review, analyze, and discuss reports from service providers (e.g., actuaries, auditors, claims handlers).
  • Ability to prepare board and committee meeting materials.
  • Ability to participate in annual board of directors' meetings and other client meetings.
  • Ability to perform other job-related duties as assigned.
  • Ability to comply with Marsh internal controls and client-specific internal controls.

Responsibilities

  • Manage the day-to-day activities of a portfolio of captive insurance companies.
  • Prepare accurate and timely financial statements, including supplemental financial information.
  • Reconcile cash and investment accounts.
  • Prepare bank deposits and cash disbursements.
  • Assist with the completion of annual client audits, including regulatory filings and GAAP financial statements.
  • Ensure compliance with local accounting and financial reporting regulations.
  • Maintain client files in accordance with regulations and best practices.
  • Develop client and third-party provider relationships.
  • Correspond with other service providers, including reviewing and analyzing their reports.
  • Prepare board and committee meeting materials.
  • Participate in annual board of directors' meetings and other client meetings.
  • Comply with Marsh internal controls and client-specific internal controls.

Benefits

  • Health insurance
  • Dental insurance
  • Vision insurance
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