Preparation of general journal transactions as related to accounting for premiums, losses, investments, reinsurance, premium and other miscellaneous taxes, fixed assets and/or general expenses, as required.
Reconciliation of general ledger accounts.
Analysis of premiums, losses, investments, reinsurance, premium and other miscellaneous taxes, fixed assets and/or general expenses, as required.
Compilation and reporting of data required for Statutory compliance and tax filings.
Assist in preparation of financial statements and related documents, as required.
Daily reconciliation of credit card and cash batches, as required.
Daily ACH processing and/or approvals via online banking.
General understanding and knowledge of all departmental responsibilities
Bachelor's Degree in Accounting, Finance or Business
5+ years of Finance/Accounting work experience in the property and casualty insurance industry.
Excellent communication skills – written and verbal.
Role requires strong work ethic with demonstrated ability to work under pressure and meet financial reporting and other project deadlines.
Highly organized style, with demonstrated ability to handle multiple tasks concurrently.
Proven ability to work closely with others in a team-oriented environment.
Working knowledge of MS Excel, MS Word, Adobe Acrobat and MS Outlook email.