IBA Technician
Job in
Greater London, London, Greater London, W1B, England, UK
Listed on 2026-08-03
Listing for:
Brown & Brown UK
Full Time
position Listed on 2026-08-03
Job specializations:
-
Finance & Banking
Financial Reporting, Financial Analyst, Financial Compliance -
Accounting
Financial Reporting, Financial Analyst, Financial Compliance
Job Description & How to Apply Below
Built 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
SummaryAs 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 Risk Serve 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 Risk Serve 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 Risk Serve.
- 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 Risk Serve.
- 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 Risk Serve or similar systems.
- Strong communication skills.
- Key Competencies
- Attention to detail
- Strong organization
- Proactive approach
- Team collaboration
We are an Equal Opportunity Employer. We take pride in the diversity of our team and seek diversity in our applicants.
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