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Chief Financial Officer; CFO

Job in Saint Thomas, Franklin County, Pennsylvania, 17252, USA
Listing for: The Hive Careers Ltd
Full Time position
Listed on 2026-09-09
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Chief Financial Officer (CFO), Financial Manager, Corporate Finance
Job Description & How to Apply Below
Position: Chief Financial Officer (CFO)
Location: Saint Thomas

Chief Financial Officer (CFO)

We are seeking an accomplished and commercially strategic Chief Financial Officer (CFO) to lead the financial strategy, financial performance, capital management, investment finance, treasury, reporting, and financial governance of a diversified Insurance & Investment organization.

The CFO will serve as a key member of the executive leadership team and strategic advisor to the CEO/President and Board, providing leadership across financial planning, insurance accounting, capital and solvency management, investment portfolio performance, asset-liability management, treasury, risk, regulatory reporting, and corporate development.

The successful candidate will combine deep financial expertise with strong commercial and investment acumen and will be capable of operating in a highly regulated financial-services environment.

Key Responsibilities

1. Financial Strategy & Executive Leadership

Develop and execute the organization's overall financial strategy.

Advise the CEO, President, and Board on financial performance, capital allocation, investment strategy, and enterprise value creation.

Translate corporate strategy into financial plans, budgets, forecasts, and measurable objectives.

Lead financial decision-making across insurance, investment, and corporate operations.

Establish strong financial governance and accountability across the organization.

2. Financial Planning, Budgeting & Performance

Lead annual budgeting, forecasting, and long-term financial planning.

Develop financial models and scenario analyses to support strategic decisions.

Monitor revenue, profitability, expenses, capital efficiency, and operating performance.

Establish financial KPIs and executive dashboards.

Identify opportunities to improve profitability, efficiency, and shareholder returns.

3. Insurance Finance & Performance

Oversee financial management of insurance operations, including premiums, claims, reserves, expenses, and underwriting performance.

Monitor key insurance financial metrics including loss ratios, combined ratios, expense ratios, and underwriting profitability.

Partner with actuarial, underwriting, claims, and risk teams to assess financial performance and emerging exposures.

Ensure appropriate financial treatment and reporting of insurance liabilities and reserves.

Support pricing, product profitability, reinsurance, and portfolio decisions from a financial perspective.

4. Investment Finance & Portfolio Management

Provide financial oversight of the organization's investment portfolio and investment activities.

Partner with the CIO/Chief Investment Officer and Investment Committee on portfolio strategy and performance.

Monitor investment income, realized/unrealized gains, asset allocation, liquidity, and risk-adjusted returns.

Evaluate investment opportunities and strategic asset-allocation decisions.

Ensure investment activities are aligned with the organization's liabilities, liquidity requirements, risk appetite, and regulatory requirements.

5. Capital, Solvency & Balance Sheet Management

Lead capital planning and balance-sheet optimization.

Monitor solvency, capital adequacy, liquidity, leverage, and financial resilience.

Develop strategies to optimize the organization's capital structure and return on capital.

Assess the financial impact of major business, investment, and insurance decisions on capital requirements.

Work closely with Risk and Actuarial functions on capital and solvency assessments.

6. Asset-Liability Management (ALM)

Provide executive financial oversight of asset-liability management.

Ensure investment portfolios are appropriately aligned with insurance liabilities and liquidity requirements.

Monitor duration, interest-rate sensitivity, liquidity gaps, and market exposures.

Support development of ALM strategies and balance-sheet optimization initiatives.

Ensure appropriate financial stress testing and scenario analysis.

7. Treasury & Liquidity

Oversee treasury, cash management, liquidity planning, and banking relationships.

Maintain adequate liquidity to meet claims, operating obligations, investment commitments, and strategic requirements.

Optimize cash deployment and short-term investment strategies.

Monitor interest-rate, foreign-exchange, credit, and liquidity exposures.

Establish robust treasury policies and controls.

8. Regulatory & Financial Reporting

Ensure accurate, timely, and transparent financial reporting to the Board, shareholders, regulators, and other stakeholders.

Oversee statutory accounts, management reporting, regulatory returns, and consolidated financial statements.

Ensure compliance with applicable accounting standards and insurance regulations.

Lead relationships with external auditors, regulators, actuarial advisers, tax advisers, and other professional stakeholders.

Maintain strong financial controls and governance frameworks.

9. Risk Management & Financial Controls

Establish effective financial risk-management frameworks.

Monitor exposure to market, credit, liquidity, underwriting, operational,…

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