The portfolio manager operations oversees theadministration of insurance and/or reinsurance accounts andcontracts, from establishing and maintaining contractual data,processing the insurance and/or reinsurance account bookings,claims handling and manage the related cash flow. he/she alsosupports the underwriters in administrative activities related tothe underwriting process. responsibilities key duties andresponsibilities - responsible for entries (treaties and/orfacultative) in the accounting and underwriting system/platformsand all further modifications - enter t&c; (terms and conditions) into the accounting system with accuracy. - checkcontractual t&c; (terms and conditions), submit them to underwriters for signature and draw their attention in case ofambiguities or changes, - check and process accounts and claimsadvices. - clarify discrepancies of accounts and claims withunderwriters/claim experts/cedents/brokers. - manage low complexityaccounts, following standard procedures under guidance of a senior manager. - manage cashflow including setting-up of client bankaccounts in the accounting system, processing of outgoing/incomingpayments and follow up on pending payments and open balances. -perform ics controls (internal control system) according torelevant guidelines and pro-actively support underwriters in theperformance of these controls. - monitor client accounts/statisticsby using internal reports, perform data analysis and support stakeholders with reports and statistics. - ensure compliance withsanctions and embargos by scanning respective lists and forward t...
The portfolio manager operations oversees the administration of insurance and/or reinsurance accounts and contracts, from establishing and maintaining contractual data, processing the insurance and/or reinsurance account bookings, claims handling and manage the related cash flow. he/she also supports the underwriters in administrative activities related to the underwriting process.responsibilitieskey duties and responsibilitiesresponsible for entries (treaties and/or facultative) in the accounting and underwriting system/platforms and all further modificationsenter t&c (terms and conditions) into the accounting system with accuracy.check contractual t&c (terms and conditions), submit them to underwriters for signature and draw their attention in case of ambiguities or changes,check and process accounts and claims advices.clarify discrepancies of accounts and claims with underwriters/claim experts/cedents/brokers.manage low complexity accounts, following standard procedures under guidance of a senior manager.manage cashflow including setting-up of client bank accounts in the accounting system, processing of outgoing/incoming payments and follow up on pending payments and open balances.perform ics controls (internal control system) according to relevant guidelines and pro-actively support underwriters in the performance of these controls.monitor client accounts/statistics by using internal reports, perform data analysis and support stakeholders with reports and statistics.ensure compliance with sanctions and embargos by scanning respective lists and forward to underwriter/leg...
The portfolio manager operations oversees the administration of insurance and/or reinsurance accounts and contracts, from establishing and maintaining contractual data, processing the insurance and/or reinsurance account bookings, claims handling and manage the related cash flow. he/she also supports the underwriters in administrative activities related to the underwriting process. responsibilities key duties and responsibilities - responsible for entries (treaties and/or facultative) in the accounting and underwriting system/platforms and all further modifications - enter t&c; (terms and conditions) into the accounting system with accuracy. - check contractual t&c; (terms and conditions), submit them to underwriters for signature and draw their attention in case of ambiguities or changes, - check and process accounts and claims advices. - clarify discrepancies of accounts and claims with underwriters/claim experts/cedents/brokers. - manage low complexity accounts, following standard procedures under guidance of a senior manager. - manage cashflow including setting-up of client bank accounts in the accounting system, processing of outgoing/incoming payments and follow up on pending payments and open balances. - perform ics controls (internal control system) according to relevant guidelines and pro-actively support underwriters in the performance of these controls. - monitor client accounts/statistics by using internal reports, perform data analysis and support stakeholders with reports and statistics. - ensure compliance with sanctions and embargos by scanning respective l...
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