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Accountant II (Hybrid) - San Diego, CA (92101)

  February 3   San Diego, California   Alliant
Position Description:

At Alliant Insurance Services, we thrive on creating employee benefits solutions built on the idea that health makes growth possible.

As top tier professionals dedicated to solving our clients' health and welfare insurance challenges, Alliant team members deliver an unrivaled depth of service, and our unique approach enables us to help clients stay resilient and turn change into opportunity.

This position is a chance to join a dynamic, expanding company with prospects for individual and career growth.

As one of the 10 largest insurance brokerage firms in the U.S., Alliant provides property and casualty, workers' compensation, employee benefits, surety, and financial products and services to clients nationwide.

More information is available at > .

SUMMARY Responsible for maintaining accounting records, exercising professional judgement and GAAP expertise while providing support and analysis of accounting transactions for Alliant Insurance and its subsidiaries.

Prepares journal entries, assists with month-end Close analysis, and supports external audits and reviews.

Identifies and implements process improvements to help streamline and enhance efficiencies, promotes the analysis and communication of financial results, and provides proactive customer service to business partners.

Hybrid schedule, in-office on Wednesday ESSENTIAL DUTIES AND RESPONSIBILITIES Prepares journal entries with supporting backup, utilizing personal discretion and/or judgement to ensure transactions are accurate, properly coded and recorded in accordance with GAAP.

Reconciles balance sheet accounts to ensure financial results are accurately represented and in conformance with GAAP.

Researches and resolves discrepancies in account balances and identifies actual or potential problems with financial transactions and recommends corrective action, as needed.

Interprets data and develops key performance indicators (KPI's) in support of the monthly financial close process and inquiries from business partners.

Supports financial statement consolidations.

Participates in the development and documentation of accounting procedures, implementing system and procedural changes, and provides training and assistance to other employees.

Identifies areas of improvement to derive enhanced methods for explaining business drivers, accelerating Close timing, improving Close accuracy, and enhancing controls over financial reporting.

Supports quarterly reviews and the year-end financial statement audit and related PBC deliverables.

Administers critical accounting processes and the execution of related controls.

Ad hoc requests as determined by management.

Perform all duties in accordance with all company policies and procedures, and all federal, state, and local laws, wherein the Company operates.

Performs other duties as assigned QUALIFICATIONS Bachelor's Degree in accounting or related field Two (2) or more years of relevant professional work experience in accounting Insurance industry and/or public accounting experience, preferred SKILLS Effective communication skills and the ability to work well in a team-oriented environment Strong attention to detail and demonstrated ability to multitask Organized with the ability to learn and work in a fast-paced, dynamic environment Ability to prioritize work, adapt to change, follow through, and meet deadlines Self-Motivated with a strong work ethic Demonstrated analytical, critical-thinking, and problem-solving skills Ability to effectively collaborate with business partners Possess knowledge of Microsoft Office suite and intermediate-level skills with MS Excel Exposure to ERP/Finance systems such as Applied EPIC, Kofax, Hyperion, PowerBI, Salesforce, Benefit Point, Blackline, and Oracle is a plus #LI-DR2

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