Accounts Technician
Insurance Company
Total years of experience :9 years, 9 Months
Make sure all Contribution received through Finance are reconciled against Contribution in the system.
Make sure all claims paid by Finance are reconciled against claims in the system.
Make sure Employee, Employer, Admin, Brokerage and GLA rates in the system agrees with rates in the Correspondence File.
Preparation of Fund Accounts.
Filing of completed Fund Accounts
Any other duties as assigned from time to time.
Business Loans (BL) / Individual Loans
Duties :
Analyzing credit proposals from prospective customers
Explaining the terms of loan agreement to both existing and prospective customers
Developing a risk profiling of businesses and individual customers
Analyzing capacity of loan repayment in accordance with lending methodology
Evaluating and assessing the credit risk of clients and provide recommendations of loan amount
Adhere to policies and procedures in all stages of loan processing
Maintain a complete and accurate loan documentation
Processing loan applications
Analyzing expected payment reports
Ensure to maintain a quality loan portfolio with PAR>30days
Handling savings account withdrawals
Handling cheque withdrawals
Handling cash deposit transactions
Handling cheque deposit transactions
Carrying out currency sorting for RBM Deposit and balancing the sorted cash.
Treasury cash receipts and payments
Handling forex transactions
Cash change transactions
Collection of bank charges
Western union money transfer
Illumination Assembly, The Pillar and Ground of Truth
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