Head of Syndicate Accounting & Reporting
Job in
Greater London, London, Greater London, EC1A, England, UK
Listed on 2026-01-13
Listing for:
Hiscox SA
Full Time, Contract
position Listed on 2026-01-13
Job specializations:
-
Finance & Banking
Financial Manager, Corporate Finance, VP/Director of Finance, CFO -
Management
Financial Manager, CFO
Job Description & How to Apply Below
Business Title Head of Syndicate Accounting & Reporting page is loaded## Business Title Head of Syndicate Accounting & Reporting locations:
UK, London time type:
Full time posted on:
Posted Todayjob requisition :
R0018586
** Job Type:
** Fixed Term
** Build a brilliant future with Hiscox
**** Position: Head of Syndicate Accounting & Reporting
**** Reporting to:
Director of Syndicate Finance
***
* Location:
London
**** Type:
Interim – 12 Month - Fixed Term Contract
**** The Role
** The Head of Syndicate Accounting & Reporting is a senior leadership position responsible for the strategic direction and operational excellence of the accounting and reporting function across Hiscox’s three Managed Syndicates, Managing Agent, and corporate member.
Reporting to the Director of Syndicate Finance, you will be responsible for leading the accounting and reporting function, ensuring effective financial management and oversight across all entities. This position requires close collaboration with key business areas, including actuarial, underwriting, risk and compliance, FP&A, and group finance, to support external reporting submissions and other requirements. You will provide leadership in overseeing the complete ledger controllership process, conducting financial analytics, fostering business partnerships across units, managing results, and ensuring comprehensive external and internal reporting.
Additionally, you will oversee Finance projects, such as implementation and improvement of controls frameworks, automation of the processes, and execution of ad hoc initiatives as necessary. Working closely with the Director of Syndicate Finance, you will help build an effective finance function, drive improvements in reporting processes, increase controllership efficiency, strengthen business partnerships, and enhance both group and external reporting capabilities.
Furthermore, you will play a key role in reinforcing the syndicate financial control framework.
This role is situated within a Finance team distributed between London and Colchester and includes responsibility for overseeing service delivery and the management of outsourcing arrangements with our outsourcing business partner in India.
** Key Responsibilities
*** Oversee all aspects of Syndicate Accounting and Reporting processes including complete ownership of Lloyds reporting and Solvency II reporting processes.
* Managing the production, review and sign off of Lloyd’s quarterly and annual regulatory returns, annual reports and accounts, IFRS statutory reporting with quantitative and qualitative analysis and disclosures.
* Manage the production and reporting of the corporate member share of the Syndicates’ results (on an IFRS basis) to Group Finance.
* Managing the production of interim, annual, and underwriting accounts for the three Hiscox-managed syndicates, as well as for the managing agent and corporate member accounts.
* Preparation and presentation of Lloyds results commentary including BS, P&L and other KPIs for governance committee.
* Managing the relationship with business process outsourcing service providers, ensuring optimal service delivery and effectiveness.
* Driving the automation, innovation, and development of reporting systems and processes capable of meeting the demands of an evolving business area.
* Provision of timely high quality management accounting information to all business units.
* Own, drive and continuously seek to improve the syndicates Accounting and Reporting processes.
* Supporting the Director of Syndicate Finance by preparing the presentations and papers required for the Managing Agency Board and for the Audit Committee.
* Lead on the management of the overall capital and liquidity position of the syndicates.
* Manage Lloyd’s related treasury activities including cash flow forecasts, situs trust funding and provision of Funds at Lloyd’s.
* Work closely with the Risk and Compliance functions to deliver accurate financial data, such as for the ORSA process.
* Managing the service to different stakeholders such as reserving, Syndicate FP&A etc and completing the process handovers/hand backs with various departments accurately as per the schedule.
*…
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