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PA - Jenkintown
Pay Rate: $120000 - $150000 per year

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We are looking for a seasoned financial leader to oversee the integrity of our financial operations, with a specialized focus on escrow accounting and regulatory compliance. As the Corporate Controller, you will act as the financial anchor of the company, ensuring the accuracy of all trust and operating accounts while maintaining strict adherence to underwriter standards and ALTA Best Practices.

Core Responsibilities

  • Oversee daily management of escrow accounts, ensuring disbursements and settlement funds are processed with absolute precision.

  • Lead the daily, monthly, and annual reconciliation of escrow and operating bank accounts, resolving any discrepancies with urgency.

  • Manage the general ledger, accounts payable, and accounts receivable, while owning the month-end and year-end close processes.

  • Serve as the primary point of contact for underwriter, state, and internal audits, ensuring rigorous adherence to industry regulations and internal controls.

  • Prepare and review premium reporting for underwriters and generate comprehensive financial statements regarding company performance and escrow activity.

  • Develop financial forecasts, monitor cash flow liquidity, and provide strategic recommendations to executive leadership to drive growth.

  • Manage complex revenue streams, partnership allocations, distributions, and year-end tax documentation (1099 reporting).

  • Supervise and develop accounting and escrow support staff, implementing best practices to enhance operational efficiency.

Qualifications

  • Minimum of 5+ years of experience in corporate accounting, with a significant background in the title insurance or real estate industry.

  • Expertise in Escrow Accounting: Deep understanding of trust account management, escheatment processes, and underwriter remittance requirements.

  • Regulatory Knowledge: Proficiency in ALTA Best Practices and state-specific title insurance regulations.

  • Advanced Analytical Skills: Proven ability to manage complex reconciliations, partnership distributions, and financial forecasting.

  • Leadership Ability: Strong track record of mentoring staff and collaborating with cross-functional management teams.

  • Technical Proficiency: High level of accuracy in financial reporting and mastery of accounting software and Excel.


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