filing and record maintenance system. Accounting Perform treaty accounts reconciliations on a monthly basis basis. Monitor client treaty accounts (cedants) for non-payment and follow-up on a regular basis Research Research, track and restore technical accounting or documentation problems and discrepancies Prepare quarterly reinsurance statement of accounts, and treaty debtors' statement of accounts on a monthly basis Reporting reconciliation and analysis of reinsurance treaty accounts and claims Preparation of premium and commission
filing and record maintenance system. Accounting Perform treaty accounts reconciliations on a monthly basis basis. Monitor client treaty accounts (cedants) for non-payment and follow-up on a regular basis Research Research, track and restore technical accounting or documentation problems and discrepancies Prepare quarterly reinsurance statement of accounts, and treaty debtors' statement of accounts on a monthly basis Reporting reconciliation and analysis of reinsurance treaty accounts and claims Preparation of premium and commission