organisation.
Oversee the effective functioning of claims management processes across all product lines to
2. Claims Management
service providers with details of progress on payment claims and services. Help resolve queries from internal Reconciliation Administration Reconciliations on claim matters that are requested and not yet paid. Reconciliation Reconciliation of bank attachment transactions to the claims management system. Tracking and recording of outstanding Validation of claim data in terms of data analysis. Stakeholder Relations Validation of claim data in terms
service providers with details of progress on payment claims and services. Help resolve queries from internal Reconciliation Administration Reconciliations on claim matters that are requested and not yet paid. Reconciliation Reconciliation of bank attachment transactions to the claims management system. Tracking and recording of outstanding Validation of claim data in terms of data analysis. Stakeholder Relations Validation of claim data in terms
technical investigation on Loss Ratio and in-depth claims analysis, corrective actions to be implemented manager with ad hoc requests for underwriting and claims in the Commercial Department. New Business Promoting with complex commercial underwriting matters and claims. Risk Surveys Assisting in communicating and promoting well as brokers and administrators. Claims Assisting the Claims department with Queries on an ad-hoc
technical investigation on Loss Ratio and in-depth claims analysis, corrective actions to be implemented manager with ad hoc requests for underwriting and claims in the Commercial Department. New Business Promoting with complex commercial underwriting matters and claims. Risk Surveys Assisting in communicating and promoting well as brokers and administrators. Claims Assisting the Claims department with Queries on an ad-hoc
the insurance claims process, including the preparation and submission of insurance claims. Assisting with
the insurance claims process, including the preparation and submission of insurance claims. Assisting with
Loading pricing claims on the live schedule for timely investigation Managing stock claims (returns, damaged damaged stock, shortages, etc.) by forwarding claims not credited to the relevant depot Assessing if credit documents to the relevant depot Managing invalid claims by providing necessary proof or backup documents
reconciliations such as fuel cards, reimbursement claims and petty cast etc Accurate and on time weekly
and control SARS management