Seacoast Bank

HQ
Stuart
Total Offices: 5
1,581 Total Employees

Seacoast Bank Benefits Overview

Compensation + Benefits

Offers 401(K)

Offers life insurance

Offers occupational accident insurance

Offers disability insurance

Offers supplemental life insurance

Offers accidental death & dismemberment insurance

Offers company equity

Offers performance bonuses

Offers employee stock purchase plan

Offers employee discounts

Offers dental insurance

Offers health insurance

Offers mental health benefits

Offers Flexible Spending Account (FSA)

Offers vision insurance

Offers Health Savings Account (HSA)

Provides family medical leave

Offers generous parental leave

Career Growth + Development

Provides customized development tracks

Job training & conferences

Provides tuition assistance

Work-Life Balance + Wellbeing

Offers generous PTO

Provides paid sick days

Provides military leave

Provides paid holidays

Provides bereavement leave

Offers unpaid extended leave

Offers an Employee Assistance Program (EAP)

Offers gym membership

Company Culture

Offers a remote work program

Offers diversity-based Employee Resource Groups

Offers legal assistance

Recently posted jobs

3 Hours AgoSaved
In-Office or Remote
6 Locations
Fintech • Software • Financial Services
Lead and execute month-end close, prepare and review complex journal entries and reconciliations, apply U.S. GAAP, maintain general ledger integrity, support audits, improve controls and processes, and mentor accounting staff.
3 Hours AgoSaved
In-Office
Winter Park, FL, USA
Fintech • Software • Financial Services
Support a Wealth Advisor by coordinating onboarding and servicing of wealth management clients. Manage client communication, meeting preparation, CRM reporting, marketing and prospecting support, and team logistics. Maintain client confidentiality, understand financial and governing instruments, and ensure accurate follow-up on client issues while collaborating with internal bank partners.
2 Days AgoSaved
In-Office or Remote
6 Locations
Fintech • Software • Financial Services
Perform and oversee reconciliation of deposit, loan, payment, asset, liability, income, and expense accounts to the general ledger using banking systems and spreadsheets; investigate and clear reconciling items, prepare reports, support audits, ensure compliance with AML/BSA and bank controls, maintain documentation, and assist with process improvements and automation.