Accountant | Pooling

SedgwickFarmington Hills, MI
10h

About The Position

By joining Sedgwick, you'll be part of something truly meaningful. It’s what our 33,000 colleagues do every day for people around the world who are facing the unexpected. We invite you to grow your career with us, experience our caring culture, and enjoy work-life balance. Here, there’s no limit to what you can achieve. Newsweek Recognizes Sedgwick as America’s Greatest Workplaces National Top Companies Certified as a Great Place to Work® Fortune Best Workplaces in Financial Services & Insurance Accountant | Pooling PRIMARY PURPOSE: The Accountant is responsible for various risk pool client accounting functions including compiling, analyzing and development of reports for accounts payable, accounts receivable, bank and investment reconciliation, and other accounting duties according to established procedures. Prepares financial reports by collecting, evaluating, and summarizing account information for communication to management.

Requirements

  • Bachelor's degree in accounting and finance from an accredited college or university or equivalent experience required.
  • Five (5) years accounting or related business experience or equivalent combination of education and experience required.
  • Thorough knowledge of US accounting principles, procedures, and relevant regulations
  • Thorough understanding of accounting standards and procedures for consolidation of entity financial statements
  • Excellent oral and written communication, including presentation skills
  • PC literate, including Microsoft Office products
  • Leadership/management/motivational skills
  • Analytical and interpretive skills
  • Strong organizational skills
  • Excellent interpersonal skills
  • Good judgment and discretionary skills
  • Ability to plan, monitor, track and problem solve
  • Ability to manage multiple projects and set priorities
  • Ability to work in a team environment
  • Ability to meet or exceed Performance Competencies

Responsibilities

  • Collects information, prepares balance sheets, analyzes data and documents financial information within reports.
  • Gathers and analyzes financial data from underwriting system.
  • Generates monthly and ad hoc reporting and analysis for underwriting department.
  • Prepares special financial reports by analyzing and summarizing account information and trends.
  • Collaborates with Pooling investment managers to reconcile broker statements by collecting and evaluating account data.
  • Compiles and analyzes financial statements in preparation for presentation to the Board of Directors for Pooling clients.
  • Reconciles claims activities and financial discrepancies by reviewing and analyzing account and claims information.
  • Provides financial information to management by researching and analyzing accounting data and preparing reports.
  • Recommends financial actions by analyzing accounting options.
  • Partners with the client in reviewing questions by researching and interpreting accounting policy and regulations.
  • Assists with day-to-day operations of accounting department or special projects as assigned by the Finance Manager or Director.
  • Maintains financial security by following internal controls.
  • Performs other duties as assigned.
  • Travels as required.
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