Specialist Accounting and Finance Support for the Captive Insurance Industry

Finance and accounting services built exclusively for captive managers, captive insurance companies, and insurance groups. Multi-domicile capability. Institutional-quality standards.

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
2Global Offices
100%Captive-Specialist Focus
What We Do

End-to-End Finance and Accounting for Captive Structures

From financial statement preparation and management accounts to regulatory reporting, treasury support, and audit coordination — we deliver the full spectrum of finance and accounting services your captive operation requires.

01

Financial Statement Preparation

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

02

Management Accounts and Reporting

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

03

Regulatory and Statutory Reporting

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

04

Accounts Payable and Receivable

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

05

Treasury and Cash Management

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

06

Audit Support and Coordination

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

07

Tax Compliance Support

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

08

Reinsurance Accounting

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

09

Captive Finance Outsourcing

Fully outsourced 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 the full range of structures and participants — from independent captive managers to large insurance groups with internal captive programmes.

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

Experience across 20+ captive domiciles including Guernsey, Cayman, Bermuda, Dubai (DIFC), and more.

Captive-Only Focus

We work exclusively in the captive insurance space — no generalist accounting, no divided attention.

Flexible Delivery Models

From fully outsourced finance functions to supplementary support and white-labelled delivery.

Institutional-Quality Standards

Processes and controls built to the standards expected by regulators, auditors, and boards.

Experienced Team

Our team brings deep experience in insurance accounting, regulatory reporting, and captive finance operations.

Deadline-Driven Delivery

Structured workflows and clear accountability to meet your reporting and filing deadlines.

Transparency and Visibility

Clear reporting lines, documented processes, and regular communication throughout the engagement.

Tailored Engagements

Scope and delivery model designed around your specific structure, domicile, and operational requirements.

How We Work

A Structured Approach to Every Engagement

We follow a consistent five-stage process to ensure every engagement is set up correctly, delivered reliably, and continuously improved.

01

Discovery and Scoping

We begin with a structured review of your current finance operations, reporting requirements, and domicile obligations.

02

Engagement Design

We propose a tailored delivery model, team structure, and service scope aligned to your specific needs.

03

Onboarding and Transition

A managed transition process ensures continuity, knowledge transfer, and a clean handover of responsibilities.

04

Ongoing Delivery

Structured workflows, clear deadlines, and regular reporting keep your finance function running smoothly.

05

Review and Optimisation

Periodic reviews ensure the engagement continues to meet your evolving requirements and regulatory environment.

Ready to get started?

Ready to Strengthen Your Captive Finance Delivery?