Position Information
  • Company:
    Protective Life Corporation
  • Location:
    Bannockburn
  • Job Status/Type:
    Full Time
    Employee
  • Job Category:
    Accounting/Finance/Insurance
  • Occupations:
    Bookkeeping
    General/Other: Accounting/Finance
    Corporate Accounting
  • Industry:
    Insurance
    Automotive Sales and Repair Services
    Financial Services
  • Career Level:
    Entry Level
Contact Information
  • Company:
    Protective Life Corporation
  • Address:
    2801 Route 280
    South Birmingham, AL 35223
  • Reference Code:
    216551

About Protective Life Corporation

Protective Life Corporation and its subsidiaries provide financial security through insurance and investment products to individuals and families across the United States.* Life insurance products are marketed through our Life and Annuity Division and West Coast Life Division and under the banners of three companies: Protective Life Insurance Company, West Coast Life Insurance Company, and Protective Life and Annuity Insurance Company (our New York licensed company).

Our Company has grown and prospered through six generations of management. We have been fortunate to enjoy tremendous growth in sales, earnings, and assets - growth that has been driven by faithfulness to, and consistent application of, our core business principles over time.

Staff Accountant III- Strong reconciliation experience required (1582)

Protective’s Asset Protection Division offers its products and services through automobile, marine, RV and power sports dealers. Through these business partners, the Asset Protection Division offers consumers protection against unwanted losses they may experience after purchasing and financing major consumer assets such as automobiles, boats and recreational vehicles. Our products and services are superior and we need superior people to join our team!
Description

The primary function is to ensure the reconciliation of Suspense accounts in a timely manner.  Perform the balancing of cash received and applied to Dealer accounts.  Prepare month-end closing entries.

30%    1.  Perform monthly suspense account (premium, claim & credit card) reconciliations in a timely manner, review and research outstanding items and clear them within Corporate guidelines.

30%    2. Daily cash balancing of cash received to cash applied in Business Admin System

20%    3.  Month-End closing Entries, including expense accruals and general expense allocations

10%    4.  Monthly billing and maintenance for self funded dealerships and Virginia Surety business

 5%     5.  Outside special Agent (FAA) billing and allocation of allotted funds

 5%    6.  Other duties as assigned.

 



Required Skills

  • Proficiency with financial administration systems; SmartStream, Microsoft Office Suite including Excel & Word
  • Strong interpersonal communication skills


Required Experience

  • Bachelor’s degree in Accounting and Finance preferred.
  • Minimum 2-4 years of experience in an Accounting environment, preferably in the Insurance Industry.
  • Strong reconciliation experience


  • We also offer a competitive benefits package that includes Medical/Dental/Vision plans, 401(k), a Cash Balance Pension plan, paid vacations and holidays, life insurance, short-term/long-term disability, and a Flexible Spending Account. In some locations, we offer free parking or commuter benefits.



    Please apply directly at:

    our website

    Apply