Profile
1. Employee Payment
2. Vendor Payment & Capex
3. Accounting Of Brokerage/Commission
4. Automation Of Process & Reporting
5. Internal Audit Co-Ordination & Compliance
6. Monthly Reconciliation Of All Types Of Commission Payment
7. Daily Commission Payout Processing
8. Gst Credit Report Verification & Issue Resolution
9. Preparation Of Various Mis And Tracker Related To Irda Payout ;
10. Preparation Of Irda Report Related To Sec 31b(2)
Candidate Role:
- Managing all partner account relationship (Very critical in Insurance Industry) building rapport for quick resolution
- Variable budget planning implementation and tracking
- Manage all partner payments and reconciliations
- Due diligence related to priority vendors during onboarding
- Ensuring all compliances including supporting documentations, KYC etc.
- Monitoring and reporting risk associated with new partners being onboarded
- Auditor and Regulatory Management for all such pay-outs
Other allied critical activities:
- Reward vs Commission Regulatory Compliances
- MIS dashboard controls
- Proactive daily coordination with Sales and Planning team for Distribution management.