Identifies recoverable amounts when claim reserves breach treaty attachment points, allocates recovery across XL layers and quota share, drafts reinsurer notifications, and tracks cash calls through to receipt.

  1. Reserve change on a claim triggers the recovery engine against active treaty programmes.
  2. XL layers are evaluated bottom-up; quota share applies to net retained above minimum retention.
  3. Recovery positions are stored per claim and layer; notifications are drafted when the recovery delta is non-zero.
  4. Approved notifications generate cash calls per reinsurer; receipts reconcile outstanding balances.

Outstanding by Age Band

0-30 days

0

£0

31-60 days

0

£0

61-90 days

0

£0

90+ days

0

£0

Cash Calls

Status filter
Cash call refClaimReinsurerTreatyAmountAgeStatusActions
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ASSISTANT
DEMO