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Validation of claims after interpreting Loss Adjustor Report & reinsurance contracts' wording.
Follow-ups with underwriters and brokers to gain understanding and arranging supporting documents for claims recovery purpose.
Calculation of reinsurer's share of claims and booking of the same in the source system i.e., Genius.
Preparation of Initial Loss Advice for Reinsurers and Brokers.
Resolving broker's, reinsurers, and technical accounting team's queries in regard to the ceded claims.
Calculation of reinsurer's share of claim for FAC & XOL contracts.
Preparation of Collection Notes for broker business.
Review of monthly Data Quality Report (DQR) and performing corrections.
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