At Willis Towers Watson, I manage marine client accounts and resolve inquiries with underwriters and stakeholders to support insurance processing.
I oversee receivables and payables, process premiums and claims, and reconcile cash, bordereaux, and statement records. I also manage payment extensions and exceptions in line with financial policies.
I coordinate with KYC, Placing & Billing, and UK teams to maintain compliance and transactional efficiency, and support month-end closing activities.
At Accenture Solutions Private Ltd., I processed cheque transactions, investigated reversals, and resolved accounts receivable discrepancies. I also supported treasury operations by preparing BE journal entries using consolidated bank reports.

