What are the responsibilities and job description for the Escrow Accountant - Title Insurance position at NPAworldwide?
Job Description
TITLE INSURANCE ESCROW ACCOUNTANT
Growing firm is adding to staff. Competitive salary and strong benefit plan.
Performing daily, weekly, and monthly account reconciliations.
Managing escrow account maintenance and ensuring compliance with escrow regulations.
Processing and reconciling title file disbursements.
Maintaining property management accounting records, including entering invoices, processing vendor payments, and tracking operating expenses.
Preparing monthly owner statements and ensuring accurate reporting of income and expenses for managed properties.
Assisting with month-end and year-end closing procedures.
Monitoring cash balances and maintaining accurate financial records.
Preparing journal entries and supporting financial reporting.
Maintaining the general ledger and supporting account reconciliations.
Assisting with monthly financial reporting, budgeting, forecasting, and cash flow reporting.
Qualifications
Experience with performing daily, weekly, and monthly escrow/trust reconciliations and monitoring outstanding checks and escrow exceptions.
Coordinating with external CPA firms, auditors, and assisting with year-end and 1099 reporting.
Supporting accounting process improvements, internal controls, and maintaining the confidentiality of Company and client financial information
Providing accounting support across the company's title insurance, property management, and real estate brokerage operations.
Why Is This a Great Opportunity
Well known company and we have worked with them for years.
TITLE INSURANCE ESCROW ACCOUNTANT
Growing firm is adding to staff. Competitive salary and strong benefit plan.
Performing daily, weekly, and monthly account reconciliations.
Managing escrow account maintenance and ensuring compliance with escrow regulations.
Processing and reconciling title file disbursements.
Maintaining property management accounting records, including entering invoices, processing vendor payments, and tracking operating expenses.
Preparing monthly owner statements and ensuring accurate reporting of income and expenses for managed properties.
Assisting with month-end and year-end closing procedures.
Monitoring cash balances and maintaining accurate financial records.
Preparing journal entries and supporting financial reporting.
Maintaining the general ledger and supporting account reconciliations.
Assisting with monthly financial reporting, budgeting, forecasting, and cash flow reporting.
Qualifications
Experience with performing daily, weekly, and monthly escrow/trust reconciliations and monitoring outstanding checks and escrow exceptions.
Coordinating with external CPA firms, auditors, and assisting with year-end and 1099 reporting.
Supporting accounting process improvements, internal controls, and maintaining the confidentiality of Company and client financial information
Providing accounting support across the company's title insurance, property management, and real estate brokerage operations.
Why Is This a Great Opportunity
Well known company and we have worked with them for years.