Insurance Accounting Associate

HUB InternationalBrentwood, TN
Onsite

About The Position

At HUB International, we are a team of entrepreneurs. We believe in protecting and supporting the aspirations of individuals, families, and businesses. We help our clients evaluate their risks and develop solutions tailored to their needs. We believe in empowering our employees to learn, grow, and make a difference. Our structure enables our teams to maintain their own unique, regional culture while leveraging support and resources from our corporate centers of excellence. HUB is one of the largest global insurance and employee benefits broker, providing a boundaryless array of business insurance, employee benefits, risk services, personal insurance, retirement, and private wealth management products and services. With over $5 billion in revenue and almost 20,000 employees in 600 offices throughout North America, HUB has grown substantially, in part due to our industry leading success in mergers and acquisitions. The Accounting Associate is at the core of our processing. Through a wide variety of assigned functions by department, they process, reconcile, associate, disburse and provide support. Collaboration and effective communication are key to completing their assignments. Accounting Associates recognize the attention to detail when processing their assigned items and work together as a team. They take pride in their impact and ensure that their accuracy and efficiency lead to successful resolution and results for all.

Requirements

  • Minimum of 1 year in accounts receivable
  • High school diploma/GED required
  • Excellent attention to detail and accuracy in supporting processing functions
  • Strong organizational skills and ability to prioritize tasks effectively
  • Demonstrated proficiency working with Microsoft Office and basic computer skills
  • 1-2 years of relevant experience

Nice To Haves

  • College degree preferred

Responsibilities

  • Efficiently handle the processing of high-volume invoices, ensuring accuracy and timeliness
  • Prepare and maintain accounting documents that support transactions
  • Research, track and resolve accounting discrepancies and questions
  • Ensuring that assigned responsibilities and tasks are completed within service level agreements
  • Reviewing and verifying the accuracy of supporting documentation as required
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