Specialist Finance and Accounting for Captive Insurance

Outsourced finance functions, qualified captive professionals and EOR solutions — built exclusively for captive managers and captive insurance companies.

Institutional-quality delivery

Finance expertise built for the captive world

We combine deep captive insurance knowledge with institutional accounting standards — delivering precision, consistency, and confidentiality across every engagement.

Multi-domicile

Coverage across leading captive jurisdictions

White-label

Seamless delivery under your brand

IFRS & GAAP

Institutional reporting standards

Dedicated team

Specialists assigned to your portfolio

20+Domiciles Supported
9Service Categories
4Global Offices
100%Captive-Specialist Focus
Two Ways We Can Help
Finance & Accounting

Outsourced Finance and Accounting Services

End-to-end accounting, reporting, treasury, audit support and finance operations — delivered by a specialist team that understands captive structures, multi-domicile reporting and the standards expected by captive managers, auditors and regulators.

Workforce Solutions

Captive Finance Professionals and EOR

Access qualified captive finance professionals for short-term cover, defined projects or long-term team expansion. Our Employer of Record model means professionals integrate directly with your operation — no new local entity required.

What We Do

The Full Finance Function for Captive Structures

From ledger to board pack, regulatory filing to audit file — we deliver the complete range of accounting and finance services your captive operation requires, across any domicile.

Financial Statement Preparation

IFRS and local GAAP financial statements for captive insurance entities across multiple domiciles.

Management Accounts and Reporting

Monthly and quarterly management accounts, board packs, and performance reporting tailored to captive structures.

Regulatory and Statutory Reporting

Domicile-specific regulatory filings, solvency reporting, and statutory submissions prepared to deadline.

Accounts Payable and Receivable

Premium processing, claims payment support, and supplier invoice management for captive operations.

Treasury and Cash Management

Bank reconciliations, investment schedule maintenance, and cash flow reporting for captive entities.

Audit Support and Coordination

Preparation of audit files, liaison with external auditors, and resolution of audit queries.

Tax Compliance Support

Corporate tax return preparation support, VAT filings, and tax provision calculations where applicable.

Reinsurance Accounting

Reinsurance premium and claims bordereaux, settlement reconciliations, and reinsurer account statements.

Captive Finance Solutions

Fully managed or supplementary finance function support, including white-labelled delivery for captive managers.

Who We Support

Built for the Captive Insurance Ecosystem

We work exclusively within the captive insurance space — supporting independent managers, insurance groups, cell company administrators and advisers who need specialist finance capability they can rely on.

Captive managers and management companies
Protected cell companies (PCCs) and incorporated cell companies (ICCs)
Single-parent and group captive insurance companies
Insurance groups with captive or affiliated entity portfolios
Small and mid-sized insurers requiring specialist finance support
Risk managers and treasury teams overseeing captive programmes
Advisors and consultants supporting captive formation or restructuring
Why Bigtree

What Sets Us Apart

Multi-Domicile Capability

20+ captive domiciles supported — Guernsey, Cayman, Bermuda, DIFC and beyond — with delivery adapted to each jurisdiction's accounting framework and reporting calendar.

Captive-Only Focus

We work exclusively in captive insurance. No generalist accounting, no divided attention — just deep, current knowledge of the structures and standards that matter to your operation.

Flexible Delivery Models

Dedicated teams, shared-service support, reporting-period capacity, project-based engagements or white-labelled delivery — structured around your requirements.

Institutional-Quality Standards

Documented controls, maker-checker reviews and senior oversight built into every engagement — to the standards expected by captive managers, auditors and regulators.

Experienced Team

Professionals with backgrounds at Aon, Marsh, Gallagher and other leading organisations — bringing institutional-quality process knowledge to every client engagement.

Deadline-Driven Delivery

Structured close calendars, clear accountability and proactive deadline management — so your reporting and filing obligations are met without chasing.

Transparency and Visibility

Clear reporting lines, documented processes and regular communication throughout every engagement. You always know where things stand.

Tailored Engagements

Scope, team structure and delivery model designed around your specific captive portfolio, domicile mix and operational requirements — not a standard package.

How We Work

A Structured Approach to Every Engagement

A consistent five-stage process — from scoping and design through to ongoing delivery and continuous improvement — so every engagement is set up correctly and runs reliably.

01

Discovery and Scoping

We review your captive portfolio, reporting requirements, domicile obligations and current finance processes before making any recommendations.

02

Engagement Design

We propose a delivery model, team structure and service scope tailored to your specific requirements — agreed in writing before work begins.

03

Onboarding and Transition

A managed transition with knowledge transfer, procedure documentation and parallel working where appropriate. We do not go live until both parties are satisfied.

04

Ongoing Delivery

Structured workflows, documented controls and regular reporting — aligned to your close calendar, audit timetable and control framework.

05

Review and Optimisation

Periodic service reviews to identify improvements and scale resources as your portfolio or requirements evolve.

Global Domicile Coverage

Captive Finance Support Across Leading International Domiciles

Bigtree supports captive managers, captive insurance companies and insurance groups across leading captive domiciles in the Caribbean, Europe, the Middle East, Africa, Asia-Pacific and North America. Our finance delivery is adapted to each client's captive structures, accounting framework, reporting calendar and control environment.

Caribbean and Atlantic

BermudaCayman IslandsBarbadosThe BahamasBritish Virgin Islands

Europe

GuernseyIsle of ManIrelandLuxembourgMaltaGibraltarSwitzerland

Middle East and Africa

United Arab EmiratesMauritiusSouth Africa

Asia-Pacific

SingaporeLabuanHong KongAustraliaNew Zealand

North America

VermontSouth CarolinaDelawareTennesseeHawaiiArizona

Specialist Structures

CaptivesPCCsICCsSegregated portfoliosProtected cellsCaptive reinsurersSpecial-purpose insurance structures

Domicile coverage refers to accounting, financial reporting and operational support. Regulated services and final submissions remain subject to review or approval by the captive manager and appropriately authorised local advisers.

Ready to Strengthen Your Captive Finance Function?

Whether you need a single specialist for a reporting cycle or a dedicated team for the long term, we can design a solution around your requirements.