IBA Technician

Brown & Brown, Inc.

Greater London

On-site

GBP 32,000 - 44,000

Full time

14 days+
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Job summary

Brown & Brown, Inc. in London is seeking an IBA Technician on a 6-month contract to support daily financial processing across accounts receivable, payable and reporting.

This role will help balance cash, reconcile bordereaux, liaise with brokers and underwriters, and ensure timely postings in RiskServe to maintain accuracy and service delivery. You will work on month-end tasks, produce reports, and support the wider IBA function with strong reconciliation and communication skills in a fast-paced

Qualifications

  • Experience in IBA or insurance finance role.
  • Knowledge of Lloyd’s / London Market.
  • Strong reconciliation skills.
  • Experience with RiskServe or similar systems.
  • Strong communication skills.
  • Attention to detail and organization.

Responsibilities

  • Match and allocate daily cash receipts within RiskServe against open items.
  • Reconcile bordereaux against cash received and identify variances.
  • Investigate and resolve unmatched and unallocated cash balances.
  • Liaise with brokers, clients, and underwriting teams to resolve discrepancies.
  • Raise journals in RiskServe to reflect adjustments.
  • Issue PPW invoices following technical processing.
  • Monitor and clear aged balances over 59 days.
  • Process Lloyd’s and LIRMA bureau cash.
  • Match, allocate, and submit bureau cash entries in RiskServe.
  • Ensure timely claims payments.
  • Prepare weekly remittance advices and distribute to agents.
  • Process non-bureau settlements with underwriters.
  • Match and allocate underwriting transactions.
  • Ensure timely settlement of balances.
  • Produce PPW, aged debt, and unallocated cash reports.
  • Support debt chasing and escalation.
  • Perform daily bank reconciliations.
  • Reconcile cashbooks to bank statements.
  • Complete bank reconciliations in RiskServe.
  • Investigate aged debt (59 to 120+ days).
  • Maintain contact records and audit trails.

Skills

Reconciliation skills
Strong communication skills
Attention to detail
Strong organization
Proactive approach
Team collaboration
Experience in IBA or insurance finance
Knowledge of Lloyd’s / London Market
Experience with RiskServe or similar

Tools

RiskServe

Job description

## IBA TechnicianApplylocations: London, England, United Kingdomtime type: Full timeposted on: Posted 2 Days Agojob requisition id: R26\_0000001853Built on meritocracy, our unique company culture rewards self-starters and those who are committed to doing what is best for our customers.**Role: IBA Technician (6 month contract)****Location: London****Salary: negotiable****Summary:**As the business continues to grow, we are creating a temporary (6-month) IBA Technician position to support the IBA function and help balance the current workload. This role will play an important part in supporting day-to-day operations and ensuring accuracy, efficiency, and service delivery across financial processes.**Key Responsibilities:****Accounts Receivable (Premiums / Cash Application)*** Match and allocate daily cash receipts within RiskServe against open items.* Reconcile bordereaux against cash received and identify variances.* Investigate and resolve unmatched and unallocated cash balances.* Liaise with brokers, clients, and underwriting teams to resolve discrepancies.* Raise journals in RiskServe to reflect adjustments.* Issue PPW invoices following technical processing.* Monitor and clear aged balances over 59 days.**Accounts Payable – Claims*** Process Lloyd’s and LIRMA bureau cash.* Match, allocate, and submit bureau cash entries in RiskServe.* Ensure timely claims payments.* Prepare weekly remittance advices and distribute to agents.**Accounts Payable – Underwriting*** Process non-bureau settlements with underwriters.* Match and allocate underwriting transactions.* Ensure timely settlement of balances.**Reporting & Credit Control*** Produce PPW, aged debt, and unallocated cash reports.* Support debt chasing and escalation.* Perform daily bank reconciliations.**Month-End Responsibilities*** Reconcile cashbooks to bank statements.* Complete bank reconciliations in RiskServe.* Investigate aged debt (59 to 120+ days).* Ensure accurate month-end postings.**Housekeeping & Adhoc*** Maintain contact records.* Ensure audit trails are complete.* Respond to queries promptly.* Audit Support**Skills & Experience*** **Experience in IBA or insurance finance role.*** **Knowledge of Lloyd’s / London Market.*** Strong reconciliation skills.* Experience with RiskServe or similar systems.* Strong communication skills.**Key Competencies*** Attention to detail* Strong organization* Proactive approach* Team collaborationWe are an Equal Opportunity Employer. We take pride in the diversity of our team and seek diversity in our applicants.
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