Employer Active
Responsibilities:
• Management of the most complex client base which includes unique lines of business, program structures and reinsurance reporting requirements. Duties to support client base include transactional processing, follow up and securing reinsurance recoveries, collateral and timely and accurate system entry of all assigned client activity.
• Assess and submit client and/or reinsurer presentation materials and communications to resolve questions and secure reinsurer agreement and payment of claims and account balances.
• Work with Market Fiduciary to assist with collection of funds.
• Provide detailed information on accounting/claims process for Request For Proposal (RFP) and sales opportunities.
• Manage settlement of funds to and from Client in a timely manner in order to ensure all applicable contractual payment terms warranties and/or conditions are met.
• Utilise Key Performance Indicators (KPIs) and other system tools to manage all brokerage receivables, funding, retention, e-trading, post booking receipt, ad hoc reporting requests, payment of funds and all management and transactional process steps to provide services in an efficient, effective and regulatory compliant manner.
• Lead and/or participate in training sessions for CSS Colleagues.
Full Time