Reading a claims payment extract before month-end
What claims finance should verify in a payment extract before signing off the insurance claims accounting close.
Notes from claims accounting fieldwork — reserves, extracts, reconciliations, and reading settlement files.
What claims finance should verify in a payment extract before signing off the insurance claims accounting close.
Common timing gaps between claims handler screens and insurance claims accounting postings after an application change.
A practical way to stratify motor claim samples for insurance claims accounting audit work in Malaysia.
Why insurance claims accounting suspense balances linger and how a reconciliation review approaches them.