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US jobs › Georgia › Senior Insurance Accountant

Senior

Senior Insurance Accountant

Hiscox Inc. · Atlanta, Georgia · Hybrid

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Pay$80k to $95k a year
LevelSenior · Accounting
Work modeHybrid
CPA exam supportNot mentioned
CPA licenseRequired
Experience3 years+
PostedJul 9, 2026
Found by usOct 7, 2026
Last checkedOct 8, 2026

Quick look

Prepare and post insurance and general ledger journal entries and support financial reporting for insurance entities.

Licensed CPAPublic accountant moving to industry

From the posting

Job Type: Permanent Build a brilliant future with Hiscox Position: Senior Insurance Accountant Reports to : Financial Reporting Manager Location: Atlanta Team: Finance Why Hiscox in the US: We’re looking for bright, energetic people to help us to produce the best insurance solutions and deliver the best service possible. Hiscox offers an environment where you are encouraged to grow with the team, and this is an exciting time to be joining this fast-growing organization. There will be opportunities to work and learn with others and develop professionally in a supportive environment. The Role: The Senior Insurance Accountant will report to the Financial Reporting Manager. The position will be responsible for both insurance and general ledger accounting, financial reporting, and special projects as needed for our newly acquired two legal entities. The Senior Accountant will be an integral part of the Finance team, interacting with team members and external constituents. We are looking for someone who will help to enhance our processes and build upon the accuracy of our financials. Key Responsibilities: Preparation and posting of journal entries related to premium, claims, reinsurance, investments, expense accruals, and intercompany transactions. Support of month-end, quarter-end, and year-end close processes to ensure timely and accurate financial reporting. Reinsurance accounting including review of cession statements, settlement calculations, reconciliations, and coordination with reinsurers. Investment accounting including recording investment activity, reconciling investment accounts, and supporting related reporting and disclosures. Preparation and review of balance sheet account reconciliations and investigation of reconciling items. Assistance with preparation of Annual and Quarterly Statutory Statements and related schedules and footnotes. Support for internal and external audits, including preparation of audit schedules and responses to PBC requests. Recording and reconciliation of IBNR and other actuarial reserve-related entries. Processing of accounts payable payments and preparation of expense accruals to ensure accurate period reporting. Support for ad hoc projects including process improvements, system enhancements, acquisitions, and integration initiatives.

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