Responsible for the preparation of monthly Statutory and GAAP journal entries, regulatory filings, tax returns, special reports, and analysis for multiple entities in multiple states. Reconciles complex general ledger accounts by comparing balances to supporting detail, analyzing differences, and proposing correcting entries when necessary. Routinely coordinates and communicates with Executives of the company, staff at the Parent, state regulators, and third-party business partners. This position also supports budget and forecast development, and variance analysis.
Location: Lansing, MI
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