Job Description
The role
Receivables:
Retrieve transactions from all banks on daily basis, prepare booking in accounting software and reconcile bank balance with bank statement
Match bank/cash reciepts and outstanding premiums & commssions in brokerage software
Follow up and send pending receipts to Brokers for clarification
Contact Clients and Brokers for due premium & commission
Reconcile receivables balance in accounting software
Payables
Prepare, review weekly statement of accounts before sending to all insurers for confimation.
Reconcile due premium & commission with insurers for payment/ collection
Correct mismatch information of insurance policies
Arrange settlement/ collection voucher in brokerage software
Invoice issued and deliver to insurers and client
Follow up unpaid commisison and remind for pa...
Apply for this Position
Ready to join WTW? Click the button below to submit your application.
Submit Application