Mosaic is a global specialty insurer renowned for its exceptional expertise, focus on complex products, and award-winning, digitized operating model. We underwrite for trade clients alongside our own Lloyd’s Syndicate 1609, offering worldwide access and local insights across seven lines of business in seven countries. Leveraging the heritage of Lloyd’s, we benefit from the market’s licenses and financial strength ratings. Visit mosaicinsurance.com and follow us at @Mosaic1609.
Position Summary:
The Reinsurance Manager is responsible for the end‑to‑end management of Mosaic’s outwards reinsurance function, ensuring effective programme implementation, robust operational delivery and strong governance.
The role works closely with underwriting, who lead the development of reinsurance strategy and purchasing decisions, providing technical input, independent review and practical challenge where appropriate. Alongside this, the role is responsible for the timely and accurate execution of core reinsurance activities, ensuring outputs meet internal, regulatory and audit requirements. Working closely with underwriting, finance, actuarial and claims teams, the role acts as a central point of coordination while maintaining close involvement in the detail of reinsurance operations and outputs.
Key Responsibilities:
Operational Management
Ensure the accurate and timely execution of all reinsurance activities across the function
Maintain direct oversight of, and involvement in:
Bordereaux preparation and submission
Contract setup, validation and ongoing maintenance within reinsurance systems
Reinsurance settlements, cash processing and reconciliations
Claims recoveries tracking, follow-up and resolution
Review outputs in detail, resolving discrepancies and ensuring completeness, consistency and data integrity
Maintain clear and comprehensive documentation across all reinsurance transactions
Financial Control & Reporting
Oversee and prepare reinsurance financial outputs, including:
Premium and recovery estimates
Profit commission calculations
Ceded balances and associated reconciliations
Ensure timely and accurate reconciliations of reinsurance-related accounts supporting financial reporting and close processes
Prepare and analyse reinsurance reporting, including P&L, cash flow and management information
Support actuarial and finance teams with data required for reserving and regulatory reporting
Controls, Audit & Governance
Design, implement and maintain a robust control framework across reinsurance processes with responsibility for ensuring compliance with applicable PBO standards
Act as the primary point of contact for internal and external audit, coordinating responses and supporting documentation
Ensure adherence to Lloyd’s requirements, internal policies and regulatory standards
Maintain strong governance over contract certainty, approvals and documentation quality
Credit Control & Cash Management
Oversee collection of reinsurance recoveries and settlement of ceded payables
Monitor aged balances and drive timely resolution, ensuring strong cash conversion and minimal leakage
Maintain oversight of reinsurer exposures and settlement performance
Stakeholder Management
Act as a central point of coordination between underwriting, finance, actuarial, claims and offshore teams
Maintain effective working relationships with brokers and reinsurers, focused on delivery and execution
Provide technical guidance to internal stakeholders on reinsurance operations, controls and reporting
Systems, Process & Improvement
Lead the development and optimisation of reinsurance systems and processes
Contribute directly to system implementation, configuration and testing
Identify inefficiencies and implement improvements to strengthen control, accuracy and timeliness
Support development of scalable processes aligned with the target operating model
Reinsurance Strategy & Placement:
Partner with underwriting to support the implementation of the outwards reinsurance programme including but not limited to providing analysis Undertake analysis to assist in assessing arrangements with reference to cost, recoverability, counterparty exposure and effectiveness
Support renewal activity through analysis, preparation and execution, including targeted broker engagement where required
Areas of Focus:
Audit & Controls:
Ensure all reinsurance balances, transactions and outputs are fully supported, reconciled and audit-ready
Maintain clear audit trails and evidential documentation across all processes
Technical Ownership:
Act as a subject matter expert across reinsurance operations, accounting and controls
Ensure accurate interpretation and application of reinsurance contracts within systems and reporting
Skills, Experience, & Education:
Strong experience in reinsurance within the Lloyd’s market
Deep technical understanding of reinsurance operations, accounting and contract structures
Experience with reinsurance systems (e.g. XLPro) and financial reporting processes
Strong knowledge of controls, audit requirements and regulatory frameworks
High attention to detail and ability to work closely with underlying data and processes
Proven ability to deliver outputs directly as well as through oversight of others
Effective stakeholder management and communication skills
Mosaic offers you
A true entrepreneurial culture
A highly competitive total rewards compensation package
The opportunity to shape and enhance a critical function within one of the market's most innovative and fast-growing specialty insurers
Exposure to a highly experienced global team operating across multiple specialty lines, markets and jurisdictions
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