Inspira Financial provides health, wealth, retirement, and benefits solutions that strengthen and simplify the health and wealth journey. With more than 7 million clients, representing over $62 billion in assets, Inspira works with thousands of employers, plan sponsors, recordkeepers, TPAs, and other institutional partners — helping the people they care about plan, save, and invest for a brighter future. Inspira relentlessly pursues better outcomes for all with our automatic rollover services, health savings accounts, emergency savings funds, custody services, and more. Learn more at inspirafinancial.com.
Treasury & Accounting Admin (Remote)
Location
Illinois
Posted
5 days ago
Salary
$21 - $62 / hour
Seniority
Entry Level
Job Description
Take the next step in your journey at Accruit, an Inspira Financial Solution. You will help businesses and individuals thrive today, tomorrow, and into retirement. Become part of a company that is people centric and client obsessed in every interaction; a community of forward-thinking individuals focused on driving results to deliver our mission with an unwavering commitment to integrity. Join us as we strengthen and simplify the health and wealth journey -- relentlessly pursuing better outcomes for all. We believe in finding the best talent! While some roles are based at one of our office locations, remote roles can sit in any of the following states: AL, AZ, CO, FL, GA, IA, IL, IN, MI, MN, MO, NC, NE, PA, SC, TN, TX, UT, VA and WV. Remote status and role locations are subject to change. Relocation is not provided.
Employees within a 90-minute radius of our Denver, CO office are required to adhere to the company in-office work guidelines of 4 days per month minimum from 10 am to 2 pm (1 of the 4 days must be a Monday or Friday).
Don't meet every single requirement? Here at Inspira Financial, we believe there is no "perfect" candidate and want to encourage applying even if all the requirements listed aren't met. Our goal is to build an authentic workplace by valuing diversity in our candidates. We work to ensure that our team reflects the diversity of the businesses and clients we serve. We are always looking to expand our growing team with dynamic and enthusiastic individuals. If you enjoy a collaborative, fun environment that champions career development, Inspira Financial is the place for you! We look forward to receiving your application! Check out this Inspira Financial video to learn more about our company!
Inspira Financial provides health, wealth, retirement, and benefits solutions that strengthen and simplify the health and wealth journey. With more than 7 million clients, representing over $62 billion in assets, Inspira works with thousands of employers, plan sponsors, recordkeepers, TPAs, and other institutional partners -- helping the people they care about plan, save, and invest for a brighter future. Inspira relentlessly pursues better outcomes for all with our automatic rollover services, health savings accounts, emergency savings funds, custody services, and more. Learn more at inspirafinancial.com .
We have been recognized for our remarkable growth on lists such as Crain's Fast 50 and Inc. 5000, and for our outstanding workplace culture and benefits with Built In's 2025 Best Places to Work and Gallagher's 2022 Best-In-Class Employer awards.
Job Summary & Responsibilities
The Treasury & Accounting Administrator is responsible for confirming wires in proprietary 1031 exchange workflow software, Exchange Manager Pro, and assisting the Finance team in essential accounting and administrative responsibilities. Additional tasks include but are not limited to:
- Assisting the Team with Accounts Payable and Accounts Receivable tasks
- Assisting with the pulling of bank and Exchange Manager Pro detailed reports to assist in reconciliation processes.
- Pull client fees from subaccounts at respective banks based on fee reports run from Exchange Manager Pro and resolve any exceptions in an accurate and timely manner.
- Maintain records of W-9s obtained for vendors and contractors paid through reverse exchanges.
ESSENTIAL DUTIES AND RESPONSIBILITIES
- Confirming wiring instructions for exchanges in Exchange Manager Pro software as well as for any reverse exchange disbursements not submitted through Exchange Manager Pro.
- Emailing Exchange Manager Pro SaaS statements according to the scheduled invoice dates and ensuring that invoices are properly set up on a recurring basis.
- Pulling bank statements and Exchange Manager Pro detailed reports to assist in the reconciliation processes.
- Monitoring and taking ownership over all incoming emails to the Disbursements@accruit.com inbox.
- Pulling fees within banking platforms to the appropriate fee account, investigating any fees which are unable to be pulled, and maintaining a list of any fees that have not been able to be pulled.
- Performing additional tasks or responsibilities as needed by the Finance team.
- Assisting with 1099's and other tax related fillings.
MINIMUM QUALIFICATIONS - REQUIREMENTS OF POSITION
- Bachelor's Degree in related field or equivalent industry experience.
- Proficient in the following Excel functions:
- Basic formatting, sorting and filtering;
- Basic formulas including the SUM formula;
- Pivot tables
- Comfortable with large data sets and ability to review formula results for accuracy
Preferred Qualifications
PREFERRED QUALIFICATIONS OF POSITION
- Title and Escrow/Real Estate experience preferred but not required
- Accounting experience is preferred but not required
BEHAVIORS & TRAITS
- Company Values: Creative, Collaborative, Competitive, Curious
- Highly ethical
- Willingness to learn new skills and take on responsibilities
- Comfortable not knowing answers, but resourceful and able to resolve issues
- Proactive
- Open to receiving and providing feedback
- Detail-oriented
- Organized
- Flexible and adaptable
KNOWLEDGE AND SKILLS
- Able to diligently follow processes and escalate potential issues to Management timely.
- Able to communicate succinctly and appropriately with the Finance team as well as other teams within the Company.
- Strong time-management and prioritization skills.
- Able to record, analyze and interpret data.
- Experience working both independently and, in a team-oriented, collaborative environment.
- Able to demonstrate and hold others accountable for organizational values.
POSITION TYPE AND EXPECTED HOURS OF WORK
- This is a full-time position with 40+ hours of work expected each week.
- Minimal travel is expected with this position.
LOCATION AND TELECOMMUTING
- This position is remote
Compensation & Benefits
$21.00/hr-$27.00/hr
Job Requirements
- Bachelor’s Degree in business, health care, or a related field
- 1-3 years managing proposals
- Experience with federal, state, or labor group RFPs (bonus)
- Excellent organizational skills with strong attention to detail and drive to adhere to challenging deadlines
- Ability to prioritize multiple projects running concurrently with overlapping deadlines
- Strong aptitude for prioritization and multitasking, with the ability to effectively manage changing priorities
- A drive to learn and apply new concepts quickly
- Must be willing and able to follow workflow/processes, seeking guidance as needed
- Foster strong relationships with internal subject matter experts with particular attention to developing product knowledge
- An affinity for accuracy and efficiency
- Ability to maintain sound judgement, critical thinking skills and maintain professionalism under pressure
- Proficient with Adobe and Microsoft applications (Outlook, Excel, Word, PowerPoint)
- Strong verbal and written communication skills, including grammar proficiency
- Must write and review for accuracy, grammar, readability, style, terminology and more.
- Experience with Loopio and Salesforce CRM preferred
Benefits
- 401(K) matching, Dedicated diversity and inclusion staff, Dental insurance, Disability insurance, Volunteer in local community, Family medical leave, Flexible work schedule, Generous parental leave, Generous PTO, Health insurance, Job training & conferences, Open door policy, Life insurance, Paid volunteer time, Open office floor plan, Paid holidays, Paid sick days, Onsite office parking, Partners with nonprofits, Performance bonus, Pet insurance, Promote from within, Lunch and learns, Remote work program, Team based strategic planning, Continuing education available during work hours, Tuition reimbursement, Vision insurance, Wellness programs, Diversity employee resource groups, Hiring practices that promote diversity
Related Guides
Related Categories
Related Job Pages
More Accounting Manager Jobs
We are seeking an experienced Senior Accounting/ Business Manager to lead financial operations while serving as a key business partner to executive leadership. This role blends hands-on accounting leadership with strategic, operational, and business management responsibilities to...
FINANCIAL REPORTING MANAGER
Arizona Department of AdministrationThe Attorney General's Office offers a comprehensive benefits package. For a complete list of benefits provided by The State of Arizona, please visit our benefits page.
The manager will lead financial operations for the Targeted Investments (TI) health care provider incentive payment program, overseeing fund distribution, expenditure monitoring, and delivering high-impact financial reporting to executive leadership. Key duties include determining payment amounts based on performance metrics, supervising staff conducting data analysis, and overseeing program systems development.
Grants Manager I
Castlerock ConsultingShining Star is an Equal Opportunity Employer. Note: Castlerock is the exclusive recruiting partner for Shining Star Consulting.
Are you an experienced non-profit Grants Manager who wants to use your accounting/administrative expertise in a remote, flexible, part-time capacity? This may be the ideal role for you! Note, this is not a fundraising or grant-writing position. Shining Star Consulting (SSC) provi...
The Senior Accounting Manager will oversee the preparation of financial statements, ensure accounting compliance, and monitor and analyze financial data, including performing journal entries and managing fixed assets. Key tasks involve month-close processes, daily cash flow monitoring, processing A/P, and assisting with planning and forecasting activities.
