One of our well respected and prestigious Asset Finance clients is seeking a highly motivated Collections Administrator in supporting their operations expansion.
Responsibilities include handling customer calls, managing ARUDD and ADDACS files, processing payments, and ensuring legal compliance.
The role requires diligence, resilience, and strong communication skills.
Candidates will ideally have experience of handling high net worth losses, but our client would be happy to consider experienced domestic or commercial property adjusters who wish to specialise in this area.
General
Our client is a rapidly developing UK loss adjusting practice that is looking to further expand its Private Clients Division through the appointment of a highly experienced property adjuster in the North West.
You will work from a home base and handle a quality portfolio of both high net worth and domestic major loss risks, providing a quality service for quality clients in this niche sector.
As Client Liaison Officer you will be responsible for providing liaison service between Investment Manager and Operations Centre, third parties and also clients by ensuring that all queries are dealt with in a timely and efficient manner, by demonstrating a proactive approach and taking responsibility to ensure that the resolutions of issues are seen through to the end.
Our client, a leading Wealth Management firm are looking for a Client Liaison Officer to join the Client Service team on a permanent basis.
Role Responsibilities
Amending static data in Avaloq as and when required.
Our Contact Centre is the heart of our business, and we pride ourselves on excellent communication, attention to detail and our drive to be the best we can.
The role holder has overall responsibility for control of all aspects of Purchase Ledger.
The role includes processing and overseeing that all invoices have been entered into our accounting software in a timely and accurate manner.
The role is responsible for overseeing and maintaining all reconciliations for supplier ledgers including all statement reconciliations and bank account reconciliations.