Premium Administration All premiums collected are deposited in a designated fiduciary account. Insured records are individually updated as your customers make payments. Premium reconciliation procedures are in place and monitored to ensure complete accuracy.
DRIASI provides timely, accurate premium reports and works with our carriers to provide for special reporting needs. Premiums collected are remitted on a predetermined basis and schedule. Remittances are accompanied by a premium submission report, summarizing collected premium remitted by project which reconciles the amount remited.
If you have additional questions about this service, please see our FAQ or contact us for more details.
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