Description and Requirements
processes and network commitments including management of own portfolio of clients.
4. Keep track and maintain reinsurance documentation related to pooling and/or captive clients up to date.
5. Prepare basic to moderate financial bordereau for different types of pooling or captive arrangements.
6. Liaises with local members to gather information for pool/captive programs.
7. Work with local offices/partner companies to track, measure and enforce the reporting of financial information on a timely basis.
8. Complete quarterly settlement with members and Captive clients.
9. Actively support the projects related to the simplification and standardization of reporting and analysis process to improve the timeliness and quality of reports.