administer with the companies claims process: Receive claim notifications Ensure all required claim information Administration: Reports directly into the Financial Manager Receiving and managing transmittal sheets, placing slips Assisting with the management of accumulations Receive submissions from brokers for underwriting and assist Analytics: Reports directly to the Financial Manager Receiving and managing transmittal sheets, placing slips
administer with the companies claims process: Receive claim notifications Ensure all required claim information Administration: Reports directly into the Financial Manager Receiving and managing transmittal sheets, placing slips Assisting with the management of accumulations Receive submissions from brokers for underwriting and assist Analytics: Reports directly to the Financial Manager Receiving and managing transmittal sheets, placing slips
allocations from customers to correct accounts. Reconciling of cash sale accounts for various branches weekly. collections, following up with customers regarding account status and payment. Send out month end debtors'
allocations from customers to correct accounts. Reconciling of cash sale accounts for various branches weekly. collections, following up with customers regarding account status and payment. Send out month end debtors'
Bookmark system experience preferred. Main Accountabilities, but not limited to: Provide secretariat support
Bookmark system experience preferred. Main Accountabilities, but not limited to: Provide secretariat support