Texas Mutual Insurance Company
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As a Senior Site Reliability Engineer, you will enhance system resilience and automate processes for Texas Mutual. You'll lead incident management, collaborate on system strategies, mentor team members, and advocate for Site Reliability Engineering best practices, shaping the organization's culture and operational excellence.
As a Senior Third-Party Risk Management Specialist, you'll lead the third-party risk management program, collaborate with stakeholders, educate departments on risk assessment processes, conduct comprehensive risk assessments, and manage monitoring processes for vendor performance and risk profiles.
The Financial Planning & Analysis Analyst will develop budgets, forecasts, and corporate financial models while providing insights and recommendations to senior management. This role involves generating metrics, conducting variance analysis, leading cost-benefit analyses, and managing departmental budgets. Collaboration with assigned departments and providing accurate financial recommendations for strategic planning are also key responsibilities.
As a Premium Audit Insurance Trainee, you will conduct onsite audits, analyze financial records, maintain relationships with policyholders, and promote customer retention while working remotely and traveling in South Texas.
The Premium Audit Insurance Trainee will undergo a 12-week paid training program focusing on conducting onsite audits, analyzing financial records, maintaining relationships with policyholders, and ensuring compliance. The role requires travel within Texas and entails examining the final earned premium for policyholders while providing exceptional customer service.
The Premium Audit Insurance Trainee position involves undergoing a 12-week training program to learn how to conduct onsite audits, analyze financial records, develop relationships with policyholders, and ensure understanding of compliance. Post-training, the role requires remote work with travel in Northwest Texas.
The Investment Accountant II/III will manage the monthly close process for the investment portfolio, reconcile the general ledger, prepare statutory and GAAP reporting, and analyze the investment portfolio. The role requires a strong analytical background and may involve managing banking relationships and cash flow analysis.