At HPI, our Fund Accounting team is the financial backbone of our client partnerships. We’re a detail-driven, collaborative group that thrives on precision and teamwork. Whether it’s reconciling deposits or preparing client reports, we take pride in delivering excellence every day. In this role, you’ll also: Process ACH entries, prepare deposit tallies, and verify client payments. Review monthly statements, audit over-spec letters, and ensure billing accuracy. Compile client activity reports, support carrier payments, and assist with departmental projects.
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Job Type
Full-time
Career Level
Entry Level
Education Level
High school or GED