Trident
Senior Accountant
About this role
Our client is an insurance agency and Third Party Administrator (TPA) serving approximately 60 self-funded employer groups across three legal entities. We are seeking a reliable, detail-oriented Staff Accountant to support the day-to-day accounting operations of the company under the direction of the Controller. This is a hands-on transactional and reconciliation role. The core of the job is ensuring that every account is reconciled, every entry is correct, and every process is followed consistently across entities. AP and AR are largely automated — the Staff Accountant's value is in accuracy, exception identification, and clean documentation. This person will also play a supporting role in the company's migration to Sage Intacct. ## Key Responsibilities General Ledger & Journal Entries
- Prepare routine monthly journal entries under the direction of the Controller — accruals, prepaid amortization, depreciation, corrections, and reclassifications.
- Ensure entries are properly coded to the correct entity, account, and cost center per company policy.
- Maintain supporting documentation for all journal entries — clean workpapers that can be reviewed by the Controller or auditors without explanation.
- Identify and flag discrepancies or unusual items to the Controller promptly rather than leaving them unresolved. Bank & Vendor Reconciliations
- Complete monthly bank reconciliations for all company accounts across all three entities — reconciled, documented, and submitted within the close calendar.
- Reconcile billing and vendor platform activity: match data exported from the enrollment/billing platform to the general ledger and identify any variances.
- Reconcile vendor statements monthly for key AP vendors; flag and escalate discrepancies.
- Assist with claims disbursement reconciliation for self-funded groups as directed by the Controller and VP of Plan & Payment Integrity. Accounts Payable & Accounts Receivable
- Monitor AP and AR workflows, which are largely automated — review the exception queue, ensure timely processing, and escalate items that fall outside normal parameters.
- Review AP aging report monthly; identify invoices past terms and bring to Controller's attention.