Responsible for the preparation of quarterly statement of accounts, reserves, and various calculations (commissions, portfolios, cash calls, etc.)
Monitor cash call and XOL claims recoveries and ensure Loss Advice are sent out in a timely manner and follow up on the settlement of claims
Reconciliation of treaty accounts, Aged Debtors Report and chase for settlement when necessary.
Prepare quarterly MDP settlement.
Assist in the preparation of the treaty renewal packages
Responsible for the checking of slips / wordings and update the terms & conditions into our system.
Attend to queries from clients, reinsurers, and related parties.
Submission of data to MAS
Assist with administrative matters such as filing and scanning documents to system.
Any other adhoc requests
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