Update treaty accounting spread sheets to include claims paid analysis, summary of accounts received and record of cash settlements. Prepare technical receipt and payment requests and investment instructions as required. Post quarterly treaty accounting entries in system. Complete an analytical review of all treaties assigned. Correspond with cedants, retrocessionaires and affiliated companies.
Reinsurance accounting
For more details please contact Paul Cotter on 00 353 1 678 0060 or email to Paul.Cotter@cotterpersonnel.ie