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PORTFOLIO MANAGER (FEG-653)

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 managing related cash flow. key duties and responsibilities include: - 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 independently his/her own portfolio of accounts - resolve problems following prescribed guidelines or procedures - proactively seeks advice for new issues and suggests solutions - manage cash flow including setting up client bank accounts in the accounting system, processing outgoing/incoming payments, and follow-up on pending payments and open balances - perform ics controls (internal control system) according to relevant guidelines and proactively 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...


[SV772] | JR. PORTFOLIO MANAGER

Portfolio manager operations 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 managing the related cash flow. 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 lists and forward to underwriter/legal for further investigation if needed. - ensure completeness and ...


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