Support the Treasury team in daily cash management operations, payment tracking, and bank reconciliations. Assist in recording accounting entries for bank accounts and improving treasury processes within an international insurtech environment.
Wakam
10 Remote Job Openings at Wakam
Manage end-to-end expenses controlling and consolidation for the French perimeter, including budgeting, forecasting, and cost allocation. Act as a finance business partner to operational leaders to optimize cost bases and provide actionable financial insights.
The role involves monitoring operational performance indicators for insurance partnerships and ensuring contractual compliance. Additionally, the apprentice will contribute to transverse transformation projects, including the creation of digital dashboards and process optimization.
Assess and challenge how partners manage delegated insurance activities, specifically focusing on claims handling and regulatory compliance. Lead the full control cycle from preparation and remote auditing to the implementation of corrective action plans.
Contribute to the technical profitability and pricing optimization of Motor insurance portfolios in France. Tasks include performing portfolio mix analyses, loss projections, and building GLM pricing models using Akur8.
Lead financial steering for the French perimeter, focusing on multi-entity consolidation, balance sheet, and cash forecasting. Drive the transformation of the FP&A function by acting as the Product Owner for Pigment and implementing AI-driven automation.
Execute end-to-end reinsurance accounting processes, including the production of accurate account statements and maintenance of the reinsurance sub-ledger. Support the rollout of the xLayer system and collaborate with brokers and reinsurers to resolve settlement queries.
Define and implement a DevSecOps roadmap by integrating security tests (SAST, DAST, SCA) into CI/CD pipelines and automating infrastructure security. Provide technical leadership and mentoring to development teams to foster a sustainable security culture.
Lead the development and governance of GLMs across European portfolios to ensure technical robustness and regulatory compliance. Drive portfolio steering through Actual vs Technical Price monitoring and provide strategic pricing recommendations to senior stakeholders.
The manager will oversee day-to-day reinsurance cash operations, including monitoring flows, reconciling payments, managing cash calls, and coordinating with Treasury for forecasting and liquidity planning. Responsibilities also include producing management reports on key reinsurance KPIs, supporting financial assessments, and resolving disputes with reinsurers and brokers.