Submit cash and non-cash premium settlements and claims movement via a variety of platforms.
Service binding authority and quota share treaty business using policy administration systems to set up and monitor contracts and process premium and claims bordereaux and treaty statements.
Receive, validate, and allocate bureau signing messages on policy administration systems.
Assist with credit control and reconciliation activity including performing cash allocations, producing, and issuing statements of account, calculating cancellation return premiums, and calculating and settling consortia fees.
Produce weekly cash balance reports and other management information including variance and aged debt reporting.
Support the team’s data quality responsibilities through the monitoring, assessment, resolution and reporting of data, system, and process issues.
Assist with the co-ordination and submission of regulatory returns such as Quarterly Solvency Reporting and Gross Quarterly Data.
Assist in the development of new services and the continuous improvement of existing processes performed by the function.
Handle queries from other business functions, brokers, carriers and DXC.
Reference no: 100122
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