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Asset Management Finance Accounting Administrator

  • Location: London
  • Category: Financial & Management Accounts
  • Salary: £15 - £20 / Annum
  • Reference: JO0000006850

Asset Management Finance Accounting Administrator An interesting and rewarding role within a global investment bank. Our client provides global enterprises operating in the aviation and maritime shipping sectors with an end-to-end suite of integrated finance products and asset management services. Candidates MUST have at least 12 months experience within a finance and accounting role and possess strong MS excel skills. Specific experience with client invoicing would be highly desirable.

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Broker Services Manager

  • Location: City of London
  • Category: Broker Support Technical
  • Salary: £50K - £60K / Annum
  • Reference: JO0000006828

BROKER SERVICES MANAGER - 12 month FTC Salary Negotiable Leading City based organisation are seeking to recruit an experienced People Manager. You will possess: ·In-depth knowledge of the broker’s role within the Lloyds environment ·In-depth knowledge of Xchanging’s processes an advantage ·In-depth knowledge of the Binder/bordereaux process You will manage a team of 6 staff. ·You will provide services to the syndicate and service companies by managing, overseeing and co-ordinating the processing of premiums and claims through their in-house broker ·Manage, oversee and co-ordinate the analysis of information received from service companies and companies who deal directly with them for Processing ·Manage, oversee and co-ordinate in the accurate processing of applicable LPANs and LCCFs and ensure they are submitted to Xchanging within agreed timescales. ·Manage, oversee and co-ordinate the processing of taxes collected in line with Lloyds guidelines. ·Liaise with underwriting and claims departments and Xchanging in order to resolve queries. ·Ensure bordereaux are received in line with reporting requirements. ·Manage, oversee and co-ordinate the direct settlements team with the reconciliation of accounts. ·Oversee that all internal & regulatory requirements are adhered to. ·Liaise with binder management team to sign new binders and renewals through Xchanging. ·Liaise with Finance to ensure prompt payment of claims/ fees/ profit commissions etc. ·Ensure coverholders comply with Lloyd’s and Xchanging processing requirements. ·Co-ordinate with Finance to ensure bank receipts are correctly identified. ·Co-ordinate with the team to ensure coverholder reconciliations are carried out between cash paid and received against the in house broker processing Please apply ref 6828

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Claims Adjuster x 3

  • Location: City of London
  • Category: Claims Examining
  • Salary: £30K - £50K / Annum
  • Reference: JO0000006711

CLAIMS HANDLERS/ADJUSTERS CITY x 3 £40,000 negotiable I am recruiting on behalf of a leading Lloyds Syndicate based in the city. I am seeking 3 individuals for 6 month Fixed Term contracts. The roles require Claims experience from a Broker/Insurer or Syndicate. London Market systems exposure is preferable. Positions are in: Accident and Health, Industrial Disease and Bloodstock. Open Market and Delegated Authority All Worldwide Territories. If you interested in any of these Fixed Term Contracts please apply quoting ref 6711

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GERMAN SPEAKING INSURANCE TECHNICIAN

  • Location: City of London
  • Category: Broker Support Technical
  • Salary: £30K - £35K / Annum
  • Reference: JO0000006420

GERMAN SPEAKING INSURANCE TECHNICIAN Based in the City of London Salary: £25,000 to £35,000 About the Role: Looking for a reliable, professional individual who demonstrates the ability to work independently but also as part of a wider global team with excellent communication and analytical skills. Deal with the processing of European Direct closings in order to facilitate cash allocation and to align estimated Premium Income with Reported Premium. This role will include working with the German office in Cologne including travel to these offices. Key Duties: ·Efficient, accurate and independent processing of technical accounts ·Closing/Bordereaux reconciliation and processing within various underwriting systems ·Accurate accounting for Insurance Premium Taxes ·Proactive investigation, analysis and interpretation of processed accounting information ·Close cooperation with Credit Control Team for entry verification Key Experience: -Fluent German -Experience in technical accounting / premium processing -Insurance premium tax expertise and prior experience would be advantageous -Ability to use LPC / IMR -Proficient in MS Office applications Ref 6420

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