A diverse team and a diverse role - working with global markets and clients.
The role
Chase and monitor premium subject to automatic cancellation payment warranty to ensure that funds are collected on time or escalated to the relevant Business Unit as appropriate
Monitor incoming cash daily and allocate where possible
Query unallocated cash balances and escalate, where necessary, to ensure resolved or returned to payee within 90 days
Provide commentary on monthly Credit Control reports
Maintain timely and accurate records and ensure documents are labelled in accordance with Credit Control guidelines within our electronic filing system
Arrange and attend internal and external meetings to discuss Credit Control issues where required
Handle cash allocations, ensuring unresolved items are queried with Business Units promptly
Manage queries in a timely manner and escalate accordingly
Required Knowledge, Skills, and Abilities
* Previous experience in a Credit Control / IBA / Account Control role essential Excellent verbal and written communication skills Proficiency in Microsoft Word, Excel, and Outlook