Handling reinsurance contracts- Treaty, FAC set-up
Perform cession calculations and validate, ceded premium and loss results from the reinsurance system
Preparing bordereaux, XOL and FAC billings to be sent to brokers/Reinsurers
Collection of open recoverable, handle market queries
Invoice review, Receivable/Payables reconciliation & settlement, agree LORS settlements
Cash reconciliation and allocation
Manual JE prep / support/ Topside allocation
Deposit premiums adjustments
Management reporting
Regulatory reporting
Requirements
Handling reinsurance contracts- Treaty, FAC set-up
Perform cession calculations and validate, ceded premium and loss results from the reinsurance system
Preparing bordereaux, XOL and FAC billings to be sent to brokers/Reinsurers
Collection of open recoverable, handle market queries
Invoice review, Receivable/Payables reconciliation & settlement, agree LORS settlements
Cash reconciliation and allocation
Manual JE prep / support/ Topside allocation
Deposit premiums adjustments
Management reporting
Regulatory reporting
Good communication both written, verbal, and analytical skills
Good decision-making skill
Committed to achieving specific objectives and takes ownership for accomplishing them. Effectively balances quality, customer service and productivity standards
Ability to prioritize & multi-task
Exhibits meticulous attention to detail
Good problem solving & analytical skills
Capable of working with tight deadlines and working under pressure
Bachelor’s degree or Post Graduate in Commerce with overall 4+ years of experience for AM and 7+ years of experience for LAM
2+ years of experience in the field of Reinsurance operations or accounting for AM and 3+years of experience in the field of Reinsurance operations or accounting for LAM
Client management experience
Proficiency in MS Excel (IF functions, VLOOKUP, HLOOKUP, PIVOT, INDEXMATCH) and PowerPoint