Accountant

Guardian Life Insurance CompanyPittsfield, MA
Hybrid

About The Position

This role will perform Individual Markets Product Finance NRO daily functions to achieve the department’s objectives. In this role, you are responsible for the integrity of financial data recording, reporting, and controlling accounting information relating to the Individual Markets Business and impact several companies within the parent company Guardian: Guardian, Guardian Insurance and Annuity Corporation (GIAC), Guardian Life Insurance Company (GLIC), Berkshire Life Insurance Company (BLIC) and all 18 Separate Accounts. You will Prepare daily cash disbursement reconciliation for checks related to the Individual Markets Business. This includes verifying and controlling the Administration System checks created prior to distribution. Prepare Oracle journal entries and supporting documentation for disbursements and Safeguard Guardian’s assets by performing policies and procedures that create a “Sarbanes Oxley” internal control structure environment surrounding cash disbursement and suspense reclass related requests. Maintain internal controls on company disbursements while striving to provide industry leading customer service support. Partner with the business operations group, reporting group and Corporate Financial Management and Control. Support daily administration system processing through accessing/distribution of reports to ensure timely and accurate transaction processing. Limit GIAC trading exposure due to market gains/losses. Establish and maintain in depth understanding of Whole Life, Term, Disability, Variable Life and Annuity products, functions and regulations affecting the business and Guardian subsidiaries. Prepare suspense account reconciliations to ensure appropriateness and supportability of general ledger balances to support attestation to senior management.

Requirements

  • Bachelor's degree with major in Accounting preferred.
  • Proficiency in Oracle Accounts Payable and General Ledger or similar system.
  • Knowledge of Accounts Payable and of General Ledger.
  • Demonstrated proficiency in Excel and Microsoft Suite.
  • Understanding of Life insurance industry products and various state escheating (unclaimed funds) regulations and processing preferred.
  • Ability to identify inefficient/ineffective processes and develop solutions.
  • Demonstrate ability to make financially significant decisions using sound judgment.
  • Ability to manage multiple functions simultaneously.
  • Ability to adapt to changing business priorities and environments.
  • Must be legally authorized to work in the United States, without the need for employer sponsorship.

Nice To Haves

  • Understanding of Life insurance industry products and various state escheating (unclaimed funds) regulations and processing

Responsibilities

  • Prepare daily cash disbursement reconciliation for checks related to the Individual Markets Business.
  • Verify and control the Administration System checks created prior to distribution.
  • Prepare Oracle journal entries and supporting documentation for disbursements.
  • Safeguard Guardian’s assets by performing policies and procedures that create a “Sarbanes Oxley” internal control structure environment surrounding cash disbursement and suspense reclass related requests.
  • Maintain internal controls on company disbursements while striving to provide industry leading customer service support.
  • Partner with the business operations group, reporting group and Corporate Financial Management and Control.
  • Support daily administration system processing through accessing/distribution of reports to ensure timely and accurate transaction processing.
  • Limit GIAC trading exposure due to market gains/losses.
  • Establish and maintain in depth understanding of Whole Life, Term, Disability, Variable Life and Annuity products, functions and regulations affecting the business and Guardian subsidiaries.
  • Prepare suspense account reconciliations to ensure appropriateness and supportability of general ledger balances to support attestation to senior management.

Benefits

  • Skill-building
  • Leadership development
  • Philanthropic opportunities
  • Contemporary, supportive, flexible, and inclusive benefits and resources
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