This role involves recording, reconciling, and reporting premiums, claims,
commissions, and recoveries related to reinsurance contracts. The role
ensures accurate financial reporting, compliance with accounting
standards, and proper settlement between insurers and reinsurer
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Record and manage
reinsurance premium, claims, commissions, and recoveries
in accounting systems.
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Prepare and process
reinsurance bordereaux, statements of accounts, and settlements
with reinsurers and brokers.
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Perform
account reconciliations
for reinsurance balances and resolve discrepancies.
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Monitor and track
reinsurance recoverables and payables
to ensure timely collections and payments.
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Support
month-end and year-end closing activities
related to reinsurance transactions.
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Ensure
accuracy and compliance
with accounting standards, internal controls, and company policies.
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Collaborate with
underwriting, claims, and finance teams
to validate reinsurance data.
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Assist in
financial reporting, audits, and regulatory requirements
related to reinsurance.
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Analyze reinsurance transactions and provide
reports on premiums, claims, and recoveries
.