Accountant I: Statutory & Financial Reporting

Health Care Service Corporation

Richardson (TX)

On-site

USD 42,000 - 93,000

Full time

30 hours ago
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Job summary

Health Care Service Corporation (HCSC) is seeking an accountant to prepare statutory financial reports and state filings for multiple insurance entities. You will research rules, post journal entries, reconcile accounts, and coordinate data with other teams to ensure accurate quarterly and annual statements.

You will maintain state reporting databases, process Plan-to-Plan payments, and prepare intercompany settlements, balancing statements and completing required compliance reporting.

Qualifications

  • Bachelor Degree in Accounting, Finance or Management or 4 years accounting experience.
  • Knowledge of basic accounting.
  • MS Office and Access.
  • Experience with Financial Systems.
  • Statistical data analysis.
  • Clear, concise communication with appropriate word choice.

Responsibilities

  • Pay the monthly, quarterly and annual state assessments.
  • Maintain state reporting database with assessment details.
  • Maintain the Plan-to-Plan (P2P) payments and prepare check requests.
  • Prepare journal entries to record P2P activity.
  • Prepare balance sheet account reconciliations.
  • Prepare monthly intercompany settlements.
  • Prepare statutory quarterly and annual statements.
  • Perform special projects as needed.

Skills

Basic accounting
MS Office
Access
Financial Systems
Statistical data analysis
Communication skills

Education

Bachelor Degree in Accounting, Finance or Management

Tools

MS Office
Access
Financial Systems

Job description

Health Care Service Corporation (HCSC) is seeking an accountant to prepare statutory financial reports and state filings for multiple insurance entities. You will research rules, post journal entries, reconcile accounts, and coordinate data with other teams to ensure accurate quarterly and annual statements.

You will maintain state reporting databases, process Plan-to-Plan payments, and prepare intercompany settlements, balancing statements and completing required compliance reporting.

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