ul>Prepare or review monthly internal financial statements;
Prepare or review quarterly financial statements for pool governance boards and management;
Prepare or review annual financial statements for pool governance boards and management;
Oversee general ledger account maintenance and supporting work papers for pool programs;
Post or approve excess insurance expense recognition journal entries and supporting documents;
Post or approve claims related journal entries and supporting documents;
Post or approve accruals for premiums and fees;
Review bank statements, investments statements and related reconciliations associated with insurance pool financial assets;
Prepares annual reporting requirements for applicable state regulatory bodies, National Council on Compensation Insurance (NCCI), and Insurance Services Office (ISO);
Prepare or coordinate preparation of premium, state income or federal income tax filings. Recruiting Vendors must have a valid written agreement and received prior written authorization from an authorized Brown & Brown representative before submitting candidates for any publicly posted role.