Accounts Receivable Analyst

March 21, 2026
Application ends: June 18, 2026

Job Description

REQUIREMENTS

  • Bachelor’s degree in Accounting, Finance, or related field (or equivalent experience).
  • 2+ years in accounts receivable, insurance billing, or similar role preferred.
  • Thorough knowledge of AR processes, reconciliation, and regulatory reporting (insurance industry experience a plus).
  • Proficiency with accounting systems, Excel, and document management tools.
  • Strong written and verbal communication skills.
  • Excellent organizational skills and attention to detail.

Skills

  • Data analysis and reconciliation
  • Problem-solving mindset
  • Ability to manage multiple priorities in fast-paced environment
  • High degree of integrity and confidentiality
  • Customer service orientation

RESPONSIBILITIES

  • Apply Premium Payments: Accurately process and apply payments, reaching out for backup worksheets, correcting backup documentation, and sending variance correspondence.
  • Return Premium Disbursements: Handle all disbursement transactions for returned premiums, ensuring compliance and proper documentation.
  • Variance Reporting & Reconciliation: Prepare and analyze variance reports to reconcile incorrectly applied premiums; send variance communications for short or overpayments to TPAs; maintain detailed journal notes of all corrections.
  • Premium Adjustments: Process premium backouts and reapplications due to Policy Administration system changes.
  • Vendor & ACH Setup: Initiate and process ACH setups for new vendors and accounts, ensuring correct procedures and authorizations.
  • Email Management & Communication: Assist and respond to queries from the Skyward team and TPAs; manage a high volume of daily working emails; maintain an organized premium payment email folder.
  • Audit Support: Collect and prepare backup documentation for internal and external audits; assist in auditor requests and compliance checks.
  • Regulatory Reports: Generate and distribute annual 5500 – Schedule A reports as required.
  • Folder & Document Management: Create and manage daily/monthly cash reconciliation folders, including organizing backup worksheets from TPAs for audit purposes.
  • Process Improvement: Identify and suggest process optimizations for greater efficiency and accuracy in AR functions.

Additional Responsibilities

  • Support month-end and year-end closing activities.
  • Maintain comprehensive AR records in accordance with company policy and insurance regulations.
  • Collaborate cross-functionally with Finance, Underwriting, Claims, and IT teams to resolve billing issues.
  • Track key AR metrics and report on status, trends, and outstanding items.
  • Provide training support to team members as needed.
  • Assist with special projects and ad hoc assignments as delegated.

Are you interested in this position?


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