Assist with monthly reporting, booking and reconciliation needs for U.S. and Canadian Warranty programs
Job Summary
Assist with monthly reporting, booking and reconciliation needs for U.S. and Canadian Warranty programs.
Ensure all premiums and claims are loaded into financial ledgers accurately and completely, interacting with Finance, Controllers, Claims, Underwriting, and Technology departments.
Support quarter and year-end financial close activities and provide ad-hoc reporting to various business teams.
Matching Summary
Assist with monthly reporting, booking and reconciliation needs for U.S. and Canadian Warranty programs.
Skills & Requirements
Must-have
Financial ledger reconciliation
Premium and claims booking
Bordereau conversion to booking sheets
Monthly reporting and reconciliation
Nice-to-have
Process documentation improvement
Cross-departmental collaboration
Key Requirements
Bachelor’s degree in mathematics, accounting, finance, or business
2+ years of experience in business operations
Experience with Database design, SQL, MS Access, Excel, and Visio