Month-End Close and Accruals
Execute monthly accrual bookings for premiums, commissions, and claims.
Review and validate month-end reports; perform trend analysis and flag anomalies.
Manage booking of reinsurance-related accounting entries and coordinate with the finance team for ledger closures.
Reinsurance Statement Preparation & Settlements
Prepare and reconcile monthly/quarterly/annual reinsurance statements.
Manage settlement of reinsurance balances including wire transfers, clearing entries, and follow-ups.
Ensure accuracy of treaty data for multiple countries and formats.
Stakeholder & Query Management
Resolve queries received from reinsurers, controllers, and internal stakeholders.
Collaborate with local finance offices to ensure completeness of input data.
Liaise with reinsurers for data clarifications, follow-ups,
and settlement confirmations.
Reporting & Audit Support
Prepare quarterly and annual reports for internal and external stakeholders.
Support internal and external audit requirements, including documentation and data validation.
Ensure compliance with treaty terms and internal controls.
Testing & Process Improvements
Perform UAT (User Acceptance Testing) for current models, systems, and reporting templates.
Validate changes in data templates or DB models (e.g., MS Access database) used in reinsurance calculations.
Identify prospects for automation, process improvement, and documentation updates.
📌 Assistant Manager Operations Noida
🏢 MetLife
📍 Noida