Data Entry Administrator

AmTrust International

Nottingham

On-site

GBP 25,000 - 35,000

Full time

14 days+

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Job summary

AmTrust International is seeking a Nottingham-based professional for a fixed-term contract until August 2027. The role is predominantly admin and Excel focused, supporting the declaration manager in developing and maintaining the declarations framework.

You will handle data flow within the business to provide efficient service to customers, ensuring timely and accurate processing of transactions and adherence to internal SLA’s.

Qualifications

  • Predominantly admin and Excel focused role supporting the declaration manager.
  • Produce MI to evidence productivity.
  • Correspond with brokers/underwriters/third parties using standard documentation.

Responsibilities

  • Proactively resolve or elevate any queries from the loading of declarations.
  • Ensure that all payments leaving the business are appropriately authorized.
  • Adhere to company service standards and procedures, including internal SLA’s.

Skills

Admin tasks

Tools

Excel

Job description

AmTrust is a global insurance provider offering risk-management solutions and business underwriting. Today AmTrust International underwrites over $1.8 billion of gross written premiums and employs more than 1500 employees globally.

We are currently looking for someone to join our Nottingham based team on a fixed term contract until August 2027, this predominantly admin and Excel focused role is to support the declaration manager with the development and maintenance of the company’s declarations framework. To support the flow of data within the business providing a competent and efficient service to our customers whilst ensuring that transactions are processed in a timely and accurate manner. In this role your responsibilities will include but are not limited to:

  • Proactively resolve or elevate any queries that arise from the loading of declarations.
  • To ensure that all payments leaving the business are appropriately authorized.
  • To ensure company service standards and procedures are adhered to, including internal SLA’s
  • To produce MI to evidence productivity
  • Correspond with brokers/underwriters/third parties as necessary using standard documentation wherever possible
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