Risk Manager | Special Risks Management
CurrentPortfolio includes Africa, Indian Subcontinent & Middle East including political risk markets with a higher default probability- Assessing risk exposure of existing portfolio and applying underwriting principles and procedures pertinent to the high risk/intensive care buyer- Devising underwriting strategy for buyers with high value exposures including standard and review limits on buyers within delegated authorities - Monitoring the development of the portfolio and modification of buyer underwriting risk management approach in the assessment of risks based on early warning signals- Managing non-standard, high risk cases where clients have incurred pre and/or post indemnification overdue; minimizing loss for the insured and the insurer through active intervention- Formulating and implementing recovery strategies & managing insolvency proceedings for critical & high-value buyers - Managing financial transactions, payment plans, settlements and post withdrawal continuation of trade by insureds