Staff Accountant

Falvey Insurance GroupNorth Kingstown, RI
Hybrid

About The Position

Falvey Insurance Group is actively seeking a diligent and positive-minded Accountant to join their dynamic team. This role may be filled at the Staff Accountant or Senior Accountant level, based on qualifications and relevant accounting experience. As a member of the finance team, the individual will play a crucial role, handling a diverse range of tasks within the finance department. The company values analytical skills, a strong work ethic, and meticulous attention to detail. The ideal candidate will be part of a collaborative and supportive team that fosters an atmosphere where everyone’s contributions are valued.

Requirements

  • Exceptional organizational and interpersonal skills
  • Excel in multitasking
  • Possess strong mathematical and computational abilities
  • Demonstrate effective problem-solving techniques
  • Attention to detail is crucial
  • Customer service-oriented mindset
  • Effective communication skills (both verbal and written)
  • Highly proficiency in Microsoft Excel
  • Familiarity with basic accounting procedures and GAAP principles
  • Basic knowledge of financial account statements
  • 0–2 years of relevant accounting experience and demonstrate a strong foundation in core accounting principles (for Staff Accountant candidates)
  • 3–5 years of progressive accounting experience, with increased responsibility for complex accounting activities, analysis and reporting, and support of month-end and year-end close processes (for Senior Accountant candidates)

Nice To Haves

  • Bachelor’s degree in accounting or related business degree

Responsibilities

  • Track and Reconcile Cash Deposits: Monitor and reconcile cash deposits across multiple subsidiary companies
  • Execute Claim Payment Batches: Prepare and process claim payments efficiently
  • Handle Complex Journal Entries: Create detailed and accurate journal entries
  • Maintain Security General Ledger Accounts: Ensure balanced accounts and perform reconciliations as needed
  • Cashflow Management: Assist with collection automation and optimize cashflow
  • Implement Financial Controls: Adhere to company policies and procedures for financial compliance
  • Support Compliance Efforts: Assist the compliance team with documentation and data requests from security auditors
  • Collaborate Across Departments: Act as a financial liaison, working closely with various teams within the company
  • Prioritize Time Management: Deliver high-quality work within contractual deadlines
  • Leverage Excel Skills: Utilize advanced Excel techniques for efficient daily tasks
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