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Accounting Clerk
Job in
Lindon, Utah County, Utah, 84042, USA
Listed on 2026-07-30
Listing for:
Trucordia
Full Time
position Listed on 2026-07-30
Job specializations:
-
Accounting
Bookkeeper/ Accounting Clerk, Financial Reporting, Accounts Receivable/ Collections, Accounting & Finance
Job Description & How to Apply Below
We celebrate both individual successes and collective accomplishments, making sure the industry recognizes the remarkable company we’re building together, as well as the impact we’re having on our clients and communities. Ranked as one of the fastest-growing companies in the U.S. for three consecutive years, we have more than 5,000 team members across 200 offices across the country, who actively, genuinely care about our clients, each other and the quality of our work, and in every interaction, represent a company that people want to work for and do business with.
Trucordia Values We actively, genuinely CARE about our clients, each other and the quality of our work, and in every interaction, represent a company that people want to work for and do business with. We COLLABORATE continuously because, together, we are more powerful and make amazing things happen for our clients and company. We LEAD with intelligence, hunger, curiosity, energy and a future-focused attitude of “what’s next”?
We are RESULT-ORIENTED, growth-focused and driven to out-perform expectations of what an insurance brokerage can achieve. We CELEBRATE both individual successes and collective accomplishments, making sure the industry recognizes the remarkable company we’re building together, as well as the impact we’re having on our clients and communities.
Job Description This Accounting Clerk role supports the day-to-day billing and accounting operations by ensuring transactions are processed accurately and on time. The position works closely with internal teams and carrier partners to help maintain accurate records related to commissions, policy activity, and financial data. This role assists with month-end processes, resolves routine discrepancies, and helps ensure the integrity and consistency of financial information.
Overall, this position contributes to reliable, well-maintained financial operations that support the broader team.
Duties and Responsibilities: Locate, review, and reconcile carrier commission statements, ensuring accuracy and completeness in all supporting documentation. Collaborate with agency representatives to support policy triage activities, helping to identify, track, and resolve discrepancies efficiently. Monitor the month-end bank reconciliation process and provide support with research and issue resolution as needed. Ensure financial and operational data is entered into internal systems accurately and in a timely, consistent manner.
Support the full month-end close process by staying aligned with key deadlines and contributing to the timely completion of assigned tasks. Qualifications Bachelor’s degree in Accounting, Finance, or a related field, or 1–3 years of relevant accounting or financial experience.
Demonstrated proficiency in general ledger reconciliations, accounts payable and receivable processes, and the preparation of journal entries. Strong Microsoft Excel skills, including the ability to use functions such as VLOOKUP, pivot tables, and basic formulas to support data analysis and reporting. Exceptional attention to detail and accuracy, with strong time management and organizational skills to effectively prioritize and meet deadlines. Proven problem-solving and analytical abilities, with strong communication skills to collaborate effectively across teams.
Ability to work both independently and collaboratively while maintaining a high level of integrity, professionalism, and confidentiality. Additional Information Please see our company Benefits: Medical, Dental, Vision Life Insurance and AD&D FSA / HSA Accident Critical Illness…
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