Reinsurance Management & Cession
A precise technical engine that ensures your risk exposure always remains within authorized appetites while optimizing your reinsurance capital protection.
Automated Treaty Cession
Eliminate manual calculation errors and ensure 100% cession compliance. The Reinsurance module automatically calculates treaty cessions on the inception of every policy, according to pre-configured proportional or excess-of-loss structures. This architectural focus ensures that your organization is never inadvertently over-exposed to a single risk and that your treaty partners receive accurate, real-time reporting of the business they are protecting.
Monthly premium bordereaux are generated automatically with a single click, containing every cession record required by your reinsurance partners, significantly reducing technical accounting overhead.
Facultative Placement Workflow
Manage non-standard and high-value risks through a structured facultative placement workflow. Track the entire placement process—from initial market inquiry and quote comparison to final acceptance and documentation. The system maintains a central record of which reinsurers are participating in each risk and on what specific terms, providing a unified view of your organization's external risk distribution.
Claims Recoveries & Technical Accounts
Maximize your cash flow by ensuring every dollar of recoverable claim spend is identified and collected. The system automatically identifies claims that trigger reinsurance recoveries, flagging them for immediate technical accounting follow-up. Technical accounts and statements are reconciled back to actual receipts, providing management with clear visibility into outstanding reinsurance receivables.
This closed-loop system ensures that your reinsurance protection is fully utilized, directly supporting the financial health and solvency of the insurance core.