About the Role
Join an established and financially strong Property & Casualty (P&C) insurance carrier where investment accounting plays a critical role in supporting policyholder obligations and regulatory requirements. You will manage and analyze investment activity, ensure accurate financial reporting, and help strengthen controls and processes within a highly regulated insurance environment.
This role offers visibility across finance and investment operations and the opportunity to contribute to the stability and long-term success of a well-established insurer.
Key Responsibilities
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Reconcile investment transactions and positions to the general ledger
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Analyze balance sheet and income statement movements and explain variances
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Resolve settlement and accounting discrepancies with internal teams
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Prepare and review statutory and GAAP investment schedules, footnotes, and reports
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Monitor receivables/payables and perform bank reconciliations
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Support audits and ensure compliance with internal controls
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Participate in process improvement initiatives
Qualifications
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5-7 years of investment accounting experience, preferably in P&C insurance
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Strong knowledge of U.S. GAAP and statutory accounting for investment portfolios
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Advanced Excel skills (Pivot Tables, lookups, Power Query)
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Experience with general ledger and investment accounting systems
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Bachelor’s degree in Accounting or related field
