Prepare monthly P&L (actual versus plan forecast) Analyze complex financial data to identify trends and insights Develop an annual 3-year plan including quarterly forecasts Complete monthly P&L by program (actual versus plan forecast) and use analytical skills to breakdown the performance into key drivers as earned premium, expenses, losses, and new business Develop explanations of variances to expected results to report to the CFO of Clear Spring Property & Casualty Perform ongoing monthly monitoring of service providers and expense charges for compliance assurance with the contract terms