To be responsible for the maintenance and credit control of ledgers. To provide support advice and training for more junior team members
PRINCIPAL ACCOUNTABILITIES
•Issuing accurate and timely statements to Brokers
•Accurate recording and matching of technical transactions and cash to the inward, and reinsurance broker ledgers on Genius
•Maintaining unallocated cash at targeted levels
•Active pursuit of large value balances, reporting issues as appropriate
•Pursuing balances in various currencies
•Attending regular internal and external meetings with underwriters and clients
•Training and support of more junior staff