Job Summary
- Checking and inputting of treaty accounts received from cedants and brokers.
- Checking and inputting of claim advice received from cedants and brokers.
- Assist in ad-hoc project or ICS related matters when requested by Team Lead.
Key duties and responsibilities
- Keying and checking of quarterly statement of accounts, including completion of accounts, reserves, and various calculations (commissions, portfolios, cash calls, etc.)
- Keying and checking of yearly premium adjustment accounts.
- Booking of claims after review of claims documents from cedants, subject to SCOR policy on referrals.
- Liaising with internal and external stakeholders when required.
- Indexing of documents to DMS system.
- Perform sanction screening on specific cedants/insureds when required.
- Assist in ad-hoc project or ICS related matters when requested by Team leader.