Credit Control Administrator
Job Ref: LF
28196
Our client is looking for a highly numerate and detail-oriented individual to manage credit control and cash reconciliation for insurance broker accounts. The role involves building relationships, preparing reinsurance balances, and supporting regulatory reporting and audits, contributing to the company's operational excellence.
Location
Guernsey,
Channel Islands
Responsibilities
Duties for this role include, but are not limited to:Managing debts, resolving overdue balances, and updating underwriters on unpaid policies.
Overseeing cash balances, Money Market accounts, and cash flow forecasts.
Preparing and settling reinsurance balances and supporting audits.
Providing finance team support during month-end and holidays, while improving processes.
Building strong relationships with brokers and underwriters.
Producing accurate and timely reports for stakeholders.
Adhering to company policies and contributing positively to the work environment.