Comprised of the following four areas: Call Centre, Claims, Data Management and Premium Administration Oversee Comprised of the following four areas: Call Centre, Claims, Data Management and Premium Administration Ensure development before implementation Check and authorize claims & refunds within provided mandate, in a timely
Comprised of the following four areas: Call Centre, Claims, Data Management and Premium Administration Oversee Comprised of the following four areas: Call Centre, Claims, Data Management and Premium Administration Ensure development before implementation Check and authorize claims & refunds within provided mandate, in a timely
Mispacking Report) process: receiving claims, checking claims, submission claims to TSAM, raised debit / credit
Mispacking Report) process: receiving claims, checking claims, submission claims to TSAM, raised debit / credit
modelling exercises and in-depth analytical investigations. Areas of responsibility may include but not not limited to Conduct in-depth investigations and ad-hoc analysis to support pricing decisions and business
timekeeping records weekly and living out allowance claims as required, Allocate appropriate cranes timekeeping records weekly and living out allowance claims as required, Daily cranes Masterdata management
timekeeping records weekly and living out allowance claims as required, Allocate appropriate cranes timekeeping records weekly and living out allowance claims as required, Daily cranes Masterdata management
oversight over the management of the AML/CTF investigations and regulatory reporting of Cash Threshold from the automated and manual systems are fully investigated and appropriately reported. This would include include ensuring that any additional follow-up investigations around such transactions are completed. Oversee
oversight over the management of the AML/CTF investigations and regulatory reporting of Cash Threshold from the automated and manual systems are fully investigated and appropriately reported. This would include include ensuring that any additional follow-up investigations around such transactions are completed. Oversee
organised records of compliance activities, investigations, and reports. Incident Response: Identify incidents