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Reinsurance Asset Handler

4 months ago


London, United Kingdom Liberty Specialty Markets Full time

**General information**:
**City**:London

**Country**:United Kingdom of Great Britain and Northern Ireland

**Creation Date**:22-Nov-2023

**Employment Type**:Permanent

**Employment Type**:Full time

**Ref #**:1234570619

**Description & Requirements**:
**Role Title: Reinsurance Asset Handler**

**Department: Operations**

**Team: Reinsurance Asset Management**

**Location: London**

**Type: Permanent**

**About the Department & Team**:
The Reinsurance Asset Management team are responsible for all operational aspects of outwards reinsurance including treaty set up, recoveries, cash allocation, credit control, reporting, broker communications and reconciliations. The team works closely with Outwards Reinsurance, Purchasing, Claims, Finance and other operations functions to ensure a seamless and co-ordinated approach throughout all of its activities.

**Key Responsibilities**:

- Cover note administration by ensuring high quality data and ‘right first time’ contract set up within the core reinsurance systems
- Identification and Calculation of reinsurance asset, issuance and monitoring of reinsurance claims collection notes as per contract terms and conditions for XOL, facultative and quota share covers
- Production of, Large Loss Reports, Risk and Claim bordereaux to support reinsurance accounts Assist with the calculation and booking of premiums, Premium Adjustments, Profit Commission & NCB etc within core systems
- Liaise with cash analysts, underwriting departments, the claims department, brokers and clients to resolve queries
- Establish and coordinate client and broker meetings in order to support understanding our external stakeholder needs and expectations
- Prepare missing account listing to notify brokers on overdue accounts not received on a timely basis
- Assistance with delivery of KPI’s, analytical review and Interpretation of quarter end results for all aspects of the ceded P&L for the London market company and Syndicate for senior management review.
- Review and evaluate the utilisation of technology to maximize efficiency of the ceded reinsurance department
- Compliance with the Reinsurance Administration Department's month/quarter end deadline requirements
- Internal stakeholder collaboration to ensure end to end process efficiency
- Support the business to provide an asset analytical service for all business classes
- Review and evaluation of RI data for identification of commutation targets and client engagement for purposes of negotiations

**Skills and Experience**
- Insurance and Reinsurance knowledge
- London market company and Lloyd's Syndicate experience preferred
- Ability and confidence to challenge existing procedures & use of systems
- Knowledge of Microsoft Excel Pivot Tables, V-Lookups, and MS PowerPoint preferred

**About Liberty Specialty Markets (LSM)**

Liberty Specialty Markets is part Global Risk Solutions and the broader Liberty Mutual Insurance Group, which is a leading global insurer. We offer a breadth of world-class insurance and reinsurance services to brokers and insureds in all major markets.

Our people are key to our success. That is why “Put People First” is one of the five Liberty values which unite us as a global organisation. We bring this to life for our colleagues through:

- Offering a vibrant and inclusive environment and committing to their career development.
- Promoting diversity, equity and inclusion (DEI). Our Inclusion Matters framework and employee-led networks strengthen the diversity of our workforce and our inclusive environment.
- Reinforcing that collaborating together to share our unique perspectives help us make better decisions, deliver innovative solutions and pursue our ambitious goals.
- A supportive culture, which includes promoting a healthy work-life balance and working flexibly.

For more information, please follow the links below: