* Must be willing to work at Seychelles (Mandatory)

    Roles & Responsibilities:

    • Reviewing, reconciling and processing treaty & account statements for assigned markets/clients
    • Processing original premium, premium adjustments and claims, ensuring that all data is accurate and up-to-date
    • Ensuring documentation is associated to the appropriate contract
    • Electronically filing/uploading relevant transaction documentation to accounting system, ensuring accurate and consistent labeling, and proper audit-trail of the risk data
    • Investigating inconsistencies, account discrepancies and related issues, and raising/resolving these in cooperation with the team
    • Responding to queries, timely and accurately
    • Ensuring accounts received are consistent with underwriting technical entries, if necessary securing missing accounts and invoices from policyholders, brokers, intermediaries etc.
    • Reviewing, reconciling and identifying incoming and outgoing payments and perform cash allocation for assigned brokers/clients
    • Supporting and work closely with other internal departments on special projects as and when required 
    • Assist in the monthly and quarterly closing process
    • Support continuous improvement activities

    Experience : 3+ years of experience in Insurance & Reinsurance Accounting

    Work Location:
     Seychelles (Our Client)

Recruiter Name:Madhuri B

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