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Executive Director, Investment Accounting

Job in Aurora, Kane County, Illinois, 60505, USA
Listing for: Trustmark
Full Time position
Listed on 2026-06-04
Job specializations:
  • Finance & Banking
    CFO, Financial Manager
  • Management
    CFO, Financial Manager
Salary/Wage Range or Industry Benchmark: 60000 - 80000 USD Yearly USD 60000.00 80000.00 YEAR
Job Description & How to Apply Below

Trustmark’s mission is to improve wellbeing – for everyone. It is a mission grounded in a belief in equality and born from our caring culture. It is a culture we can only realize by building trust. Trust established by ensuring associates feel respected, valued and heard. At Trustmark, you’ll work collaboratively to transform lives and help people, communities and businesses thrive.

Flourish in a culture of diversity and inclusion where appreciation, mutual respect and trust are constants, not just for our customers but for ourselves. At Trustmark, we have a commitment to welcoming people, no matter their background, identity or experience, to a workplace where they feel safe being their whole, authentic selves. A workplace made up of diverse, empowered individuals that allows ideas to thrive and enables us to bring the best to our colleagues, clients and communities.

About

The Role

We are looking for an Executive Director, Investment Accounting for Trustmark. Please apply if you meet the requirements and are able to work 3 days in the office and 2 at home.

Responsible for providing strategic leadership over investment accounting and cash management activities, including oversight of the outsourced investment accounting provider and accountability for STAT and GAAP investment reporting. This role has enterprise responsibility for liquidity and cash activities across the Trustmark Companies, including the allocation of excess funds for investment, authorization of fund transfers, and governance of cash management systems. Serves as a technical authority within insurance investment accounting, leading complex technical accounting research, interpretation of emerging guidance, and development of accounting positions.

Actively represents the organization in industry technical meetings and forums and maintains deep expertise in insurance investment products, accounting standards, and regulatory developments. Partners closely with investment operations, tax, and financial reporting leadership to drive process enhancements, strengthen controls, accurate and timely financial reporting and analysis, and advance the enterprise strategic investment capabilities.

Key Accountabilities
  • Ensure investment accounting and reporting is in compliance with current NAIC and GAAP pronouncements by staying ahead of regulatory developments, proactively interpreting and implementing changes, and regularly updating investment accounting procedures to reflect the latest standards.
  • Review monthly, quarterly, and annual STAT and GAAP schedules, ensuring accuracy, timeliness, and completeness in all financial reports.
  • Foster and sustain strategic partnerships with the outsourced investment accounting provider and internal stakeholders, providing technical guidance and leadership to drive continuous process improvement, strengthen internal controls, and support enterprise-wide investment objectives.
  • Lead and direct an efficient and effective investment accounting and cash management department within the Finance Division, demonstrating strong leadership skills by setting clear goals and expectations for staff.
  • Monitor procedural processes to assure accuracy and timely completion of deliverables, proactively identifying opportunities for process efficiencies.
  • Actively represent Trustmark in investment industry forums and technical meetings.
  • Drive the evaluation and adoption of new investment vehicle strategies by conducting thorough technical accounting research and ensuring appropriate implementation from initial concept through operationalization.
  • Oversee the configuration and integration of these strategies with the outsourced investment accounting provider, ensuring strong internal controls and establishing repeatable, efficient processes to support accurate and compliant investment accounting and reporting.
  • Prepare accurate investment surplus and cash flow spread sheets. (Actual and forecasted results.) Work with Chief Investment Officer on investment capital gain / unrealized gain forecasting.
  • Provide investment tax forecast information.
  • Work with others in the Company to forecast cash needs and cash results.
  • Other duties as…
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