Hybrid Accounting Supervisor – Insurance (GAAP & Statutory)

LHH Recruitment Solutions

Chicago (IL)

Hybrid

USD 95,000 - 110,000

Full time

5 days ago
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Benefits offered by this job

401k match
Low-cost medical plans
HSA contribution
PTO + holidays
Hybrid work environment

Job summary

Senior Accountant opportunity with LHH Recruitment Solutions in the Western Suburbs of Chicago. The role combines GAAP and statutory accounting work within an insurance context, offering a hybrid schedule and a compensation range of $95,000–$110,000 annually.

Responsibilities include journal entries, month-end close, financial reporting, audits, and cross-functional collaboration, with a focus on insurance accounting and reinsurance coordination when needed.

Qualifications

  • 3+ years of accounting experience within an insurance company.
  • P&C insurance accounting experience preferred.
  • Ability to work in GAAP and statutory accounting environments.
  • Strong general ledger, month-end close, and financial reporting experience.

Responsibilities

  • Prepare and review journal entries, account reconciliations, and month-end close.
  • Support financial reporting and compliance requirements.
  • Work within both GAAP and statutory accounting environments.
  • Partner with internal stakeholders on accounting and reporting initiatives.
  • Assist with audits, regulatory reporting, and process improvement projects.
  • Support insurance accounting activities and collaborate with cross-functional teams, including reinsurance functions when needed.

Skills

GAAP knowledge
Statutory accounting
Month-end close
Financial reporting
Cross-functional collaboration

Education

CPA candidate or CPA

Tools

Microsoft GP
Prospero
Excel

Job description

Senior Accountant opportunity with LHH Recruitment Solutions in the Western Suburbs of Chicago. The role combines GAAP and statutory accounting work within an insurance context, offering a hybrid schedule and a compensation range of $95,000–$110,000 annually.

Responsibilities include journal entries, month-end close, financial reporting, audits, and cross-functional collaboration, with a focus on insurance accounting and reinsurance coordination when needed.

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