Responsibilities
Conduct Technical checks on insurance documentation to ensure accuracy, this includes using specific IT based system to supports the technical adjusting process with some supervision where applicable
Working knowledge of insurance and re-insurance from Lloyd&rsquos of London Market is mandate
Well versed with the MRC Slips, Endorsement, Declarations, Submissions, quote and promise documents and it&rsquos various sections
Premium reconciliation and adjustment in the system
Reviewing bordereaux files to resolve commission, premium difference
Active management of aged debts, unallocated cash, internal and external queries
Monthly reconciliation highlighting and recording transaction movement and raising with finance to ensure process is consistent
Monitor daily signing for Lloyd&rsquos LIRMA accounts
Process daily cash analysis report
Follow up or escalate with responsible business units on outstanding breaks according to internal procedure
Timely and accurate processing of premium and endorsements
Support existing backlog clean up exercises
Working knowledge of Genius Application is mandate
Resolving Premium/ Claims/ Tax differences
Excellent written & verbal communication skills
Knowledge of MS Office and its tool
Taxes knowledge for different countries
Relevant work experience for London P&C Insurance market
Should have wing to wing knowledge of the Underwriting lifecycle
Must demonstrate and foster customer focus, teamwork, accountability, initiative and innovation.
Fluent in English language- both written and oralPreferred Qualifications
Insurance domain awareness
Good knowledge of MS Office
Preferred with certification on one of the streams i.e. CII i.e. ALMI, FIT or Cert CII or equivalent or AINS, CPCU certification
Knowledge of Bureau/Non Bureau market
Knowledge of end to policy life cycle (Submission till Endorsements and UW Support Tasks)
Exposure to Reinsurance Market and it%27s types such as Prop and Non prop
Exposure to Treaty and Fac Reinsurance