A well-established Lloyd's broker is looking for an IBA Technician to join its IBA and Credit Control team. Working within a multi-currency, multi-entity environment, the successful candidate will support the day-to-day processing and reconciliation of cash receipts and payments across the firm's non-statutory trust accounts. Responsibilities include daily bank postings, monitoring client and underwriter balances across Lloyd's, LIRMA and ILU accounts, assisting with NST payment setup and allocation, issuing remittance advice, and contributing to weekly bank reconciliations and the month-end process. The role will suit someone who is highly numerate, accurate under pressure, and comfortable working collaboratively across a small team. Proficiency in Excel and Word is essential. You will already have some experience of working in the London insurance market. Full in-house training is offered, alongside CPD support and relevant industry development opportunities. *Our client is committed to diversity in all of its forms and operates an inclusive recruitment process* AMRT1_UKTJ ...
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Insight Recruitment Solutions Recruitment Team