Accounting Specialist (Remote)

One80
$21 - $23Remote

About The Position

The Accounting Specialist, AVMA PL is responsible for daily tasks assigned over the AVMA Professional Liability (PL) insurance lines of business. This role involves applying principles of Accounting to track and analyze financial information and prepare financial reports, ensuring timely and accurate activity and transactions for assigned areas. One80 Intermediaries is part of Arrowhead Intermediaries, a global insurance distribution platform that offers deep specialization, scale, and innovation across wholesale brokerage, program administration, and specialty insurance. With more than 7,000 professionals worldwide and a collective portfolio exceeding $18 billion in premium placed in 2024, the combined organization delivers a diverse trading platform for insurance carriers as well as expanded access and niche solutions for brokers and customers navigating complex and hard-to-place risks. The platform combines entrepreneurial culture with operational excellence to deliver tailored solutions and long-term value across the insurance ecosystem. One80 Intermediaries has joined Brown & Brown, and teams at both companies are growing. One80 Intermediaries offers exclusive programs and in-house binding authority for property & casualty, financial lines, personal lines, life insurance, medical stop loss risks, travel/accident and health, executive benefits, affinity business and warranty coverage. The company looks for individuals who embrace its culture, thrive in a collaborative environment, are driven to grow and succeed, and are committed to always doing what is right. With a unique culture built on integrity, superior capabilities and grit, the company values teamwork, trust and courage, referring to employees as 'teammates' and managers as 'leaders'.

Requirements

  • 3+ years of related accounting experience dealing with recording financial transactions, reviewing, analyzing, and interpreting financial data; or equivalent combination of education and experience.
  • Strong interpersonal skills with a proven ability to interface effectively at all levels within an organization.
  • Strong technical skills, including financial accounting and reporting systems.
  • Excellent verbal and written communication skills, with ability to effectively interact with all levels of employees both internally and externally.
  • Ability to multi-task and prioritize based upon business and departmental needs.

Nice To Haves

  • Associate’s degree in Accounting or Finance, or a related field preferred

Responsibilities

  • Processing daily workflow as assigned over the AVMA PL Accounting areas to ensure service levels and timelines are being met.
  • Processing daily invoice importing for assigned AVMA PL accounting lines of business.
  • Reviewing accounts for accuracy and complete information before posting batches.
  • Completing balancing to source documents.
  • Processing daily cash receipt imports from various sources, including reconciling receipts from source documents/reports to bank activity, and posting to the accounts system and general ledger.
  • Processing physical check deposit for payments mailed directly to the office. Remote check scanner will be used, detailed tracking and reconciliation to the bank and general ledger systems for accuracy.
  • Coordinating check requests as required from policy admin systems for carrier, customer, and/or broker payments required for your assigned areas in a timely manner.
  • Ongoing processing of Direct Bill commission payments owed from carriers for policies which the insureds pay to the carrier directly.
  • Ability to reconcile detailed transactions to compare to payments received from carriers, notice discrepancies, and follow up to ensure timely payment from carriers.
  • Responsible for coordinating and reviewing Accounts Receivable reports for unusual or possible missing transactions, working with the Accounting Supervisor, PL to correct transactions if necessary.
  • Assist the Accounting Supervisor, AVMA PL with ensuring all accounting records are properly and timely recorded for Month end processing.
  • Record journal entries as needed relating to assigned accounts.
  • Responsible for reconciling various general ledger accounts and investigating differences that may arise.
  • Prepare balance sheet reconciliations, including various bank accounts as assigned, in a timely manner.

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What This Job Offers

Job Type

Full-time

Career Level

Mid Level

Education Level

No Education Listed

Number of Employees

101-250 employees

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