Purchasing
Input of new facultative and treaty contracts/endorsements on to the systems. Ensure key details are recorded accurately and in a timely manner.
Input premium advice notes and ensure premium has been paid.
Claims
Assist with daily SCM/USM messages including Syndicate Event Coding.
Assist with the month/quarter end process; including prompt advising of recoveries to brokers including claims data supplements/adjuster reports.
Assist with Group reporting on shared RI contracts.
Monitor and assist with credit control of claims & premiums via LORS including non-cash LORS.
Assist...
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