M6
Reinsurance Recovery
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.
- Reserve change on a claim triggers the recovery engine against active treaty programmes.
- XL layers are evaluated bottom-up; quota share applies to net retained above minimum retention.
- Recovery positions are stored per claim and layer; notifications are drafted when the recovery delta is non-zero.
- Approved notifications generate cash calls per reinsurer; receipts reconcile outstanding balances.
Outstanding by Age BandDays since submission. Bands 31–60 and 61–90+ highlight calls needing follow-up under credit control policy.
0-30 days
0
£0
31-60 days
0
£0
61-90 days
0
£0
90+ days
0
£0
Cash CallsDRAFT → APPROVED (internal sign-off) → SUBMITTED (sent to reinsurer) → PAID → RECONCILED when receipt matches.
Status filterCash calls request payment from reinsurers after notifications are sent. Track ageing until receipt is recorded.| Cash call ref | Claim | Reinsurer | Treaty | Amount | Age | Status | Actions |
|---|---|---|---|---|---|---|---|
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