Treasury Operations Analyst, US

Compre GroupManchester, NH
Remote

About The Position

We are a fast-growing global specialty reinsurance company servicing the insurance markets of Lloyd’s, Europe, and North America. As part of our growing US Treasury function, we are seeking a Treasury Operations Analyst to support day-to-day cash operations and claims-related financial processes within a specialty insurance and reinsurance environment. This is a hands-on role offering strong exposure to Treasury, Claims, and Finance, with the opportunity to build experience across cash management, financial controls, claims funding, and insurance-specific operational processes. Candidates with prior experience in insurance, reinsurance, claims, or TPA environments will be particularly well suited for this role. Exposure to claims payments, loss funds, insurance cash operations, escheatment, or regulatory reporting processes is strongly preferred.

Requirements

  • Located on East Coast
  • 3–5 years of experience in treasury, finance, accounting, insurance operations, or related financial services environments
  • Experience with cash management, payment processing, or reconciliations
  • Treasury or cash operations within financial services
  • TPA or loss fund environments
  • Strong analytical skills and attention to detail
  • Ability to manage multiple priorities in a fast-paced environment
  • Strong communication skills and ability to work cross-functionally
  • Proficiency in Excel and MS Office tools
  • Bachelor’s degree in Finance, Accounting, Business or related field
  • Contributing positively to our culture and values

Nice To Haves

  • Exposure to insurance or reinsurance operations, claims payment processes, TPAs, or loss fund activity is strongly preferred.
  • Experience supporting regulatory reporting activities such as escheatment or 1099 processing is preferred.
  • Insurance or reinsurance industry experience strongly preferred
  • Experience with claims payment or disbursement processes, TPAs, loss funds, or insurance cash operations preferred
  • Exposure to regulatory reporting processes, including escheatment or 1099 support, preferred

Responsibilities

  • Support claims-related financial activities, including loss funds, claims payments, recoveries, and reporting
  • Assist with reinsurance trust account administration and compliance requirements
  • Maintain check registers and support uncashed check and escheatment processes
  • Support daily cash management, liquidity monitoring, and payment processing (wires, checks, FX)
  • Contribute to process improvements, automation initiatives, and system enhancements
  • Perform bank reconciliations and investigate discrepancies across banking and accounting records
  • Support regulatory reporting activities, including 1099 processing, audits, and internal controls
  • Process accounts payable transactions and maintain payment records

Benefits

  • Competitive salary and bonus eligible
  • Medical, EAP, dental, & vision insurance for individuals and families
  • Compre funded Life Insurance
  • 401k with Company Match
  • Company Off-Site Meetings
  • Remote Worker Expenses
  • Health and Wellbeing Programs
  • Employee Referral Program
  • Generous vacation and holiday schedule
  • STD & LTD coverage
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