AmTrust Financial Services

Supervisor, Investment Accounting

AmTrust Financial Services$90K — $120K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in Accounting
  • 5+ years in financial services
  • Experience with Clearwater Analytics software
  • Knowledge of STAT reporting and WINGS
  • Familiarity with Oracle and HFM general ledger
  • Advanced Excel skills including pivot tables

Responsibilities

  • Monitor daily accounting operations and financial closes
  • Serve as point of contact for staff accountants
  • Drive process enhancements for investment accounting entries
  • Participate in Clearwater project implementations
  • Oversee U.S. GAAP and Statutory accounting for alternative investments
  • Research technical accounting matters as needed
  • Prepare analyses for Financial Reporting and external agencies

Benefits

  • Medical & Dental Plans
  • Life Insurance for employees and dependents
  • Health Care Flexible Spending
  • Dependent Care Flexible Spending
  • 401k Savings Plans
  • Paid Time Off
Full Job Description
Overview

This position will be worked on-site in our Jersey City, NJ office.

Summary:

The Investment Accounting Supervisor is an integral member of the Finance organization that is primarily responsible for (1) monitoring and tracking the monthly and quarterly U.S. and local GAAP financial close for domestic and international entities; (2) preparing U.S. GAAP and Statutory Accounting footnote disclosures and other external reporting; and (3) provides day-to-day guidance to team members on responsibilities and tasks. The role requires fluency in Clearwater Analytics, Oracle ERP and Wings, and the ability to translate requirements between the systems. Additionally, the Investment Accounting Supervisor has a working knowledge of (1) ASC Topics 320 through 326; and (2) broad topics, including foreign currency matters. The Investment Accounting Supervisor is responsible for ensuring that team members are properly trained and receive the direction needed to accomplish assigned tasks efficiently and accurately.

The expected salary range for this role is $90,000 - 120,000.

Please note that the salary information shown above is a general guideline only. Salaries are based upon a wide range of factors considered in making the compensation decision, including, but not limited to, candidate skills, experience, education and training, the scope and responsibilities of the role, as well as market and business considerations.

Responsibilities

Responsibilities:

1. Monitors and tracks all daily accounting operations and monthly financial closes for the domestic and international investment portfolios according to the close calendar;

2. Is the staff accountants' point of contact for questions and issue resolution, and works closely with the Clearwater client service team to troubleshoot and resolve day-to-day technical and operational problems;

3. Drives process enhancements for recording and reconciling investment accounting journal entries and balances, which includes continuous improvement of excel processes, participating in efforts with the ERP/HFM teams to automate/semi-automate postings, opening accounts and maintaining the investment accounting COA, opening/tracking/resolving ERP tickets and change management requests;

4. Participates in projects/implementations with Clearwater;

5. Oversees, tracks, and monitors the U.S. GAAP and U.S. Statutory accounting entries for all alternative investments, including the validation of Clearwater activity and balances and reconciliation to ERP;

6. Assists with researching U.S. GAAP and Statutory technical accounting matters for investment transactions, new assets classes and/or other matters as needed;

7. Prepares analyses and analytics that support Financial Reporting, FP&A, and external rating agency requests;

8. Assists with the preparation of U.S. GAAP and Statutory Accounting investment related financial statement footnotes;

9. Coordinates workflow effectively with other team supervisors and keeps managers apprised of issues, status and resolutions

10. Provides investment related data for survey requests such as AM Best as needed.

11. Keeps current with market trends and demands.

12. Performs other functionally related duties as assigned.

Qualifications

Qualifications:

Required:
• Bachelor's degree in Accounting;
• 5+ years work experience in the financial services industry;
• Practical experience with investment accounting software solutions (Clearwater preferred);
• STAT reporting experience and knowledge of WINGS.
• Practical experience with general ledger applications and tools (Oracle and HFM preferred);
• Advanced excel skills (logical formulas and pivot tables)

Preferred:
• Big 4 experience;
• CPA or working towards certification;
• Insurance industry experience

This job description is designed to provide a general overview of the requirements of the job and does not entail a comprehensive listing of all activities, duties, or responsibilities that will be required in this position. AmTrust has the right to revise this job description at any time

What We Offer

AmTrust Financial Services offers a competitive compensation package and excellent career advancement opportunities. Our benefits include: Medical & Dental Plans, Life Insurance, including eligible spouses & children, Health Care Flexible Spending, Dependent Care, 401k Savings Plans, Paid Time Off.

About AmTrust Financial Services

AmTrust Financial Services, Inc. is a multinational property and casualty insurance company. The company provides coverage for small businesses, workers' compensation insurance, extended warranty coverage, specialty risk and extended warranty coverage, and other insurance products. AmTrust Financial Services, Inc. was founded in 1998 and is headquartered in New York City. The company is publicly traded on the NASDAQ stock exchange under the ticker symbol AFSI.
Learn more about AmTrust Financial Services
Size
8,000 employees
Industry
Founded
1998

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