Product
RISKCAPE Broker
Broker administration, from placement to remittance
- PIA
- Return-ready reporting
- 2
- Currencies per tenant
Placeholder: RISKCAPE Broker dashboard screenshot
What RISKCAPE Broker does
Placement & binding
Quotations, placing slips and policy binding across your whole insurer panel.
Client accounting
Debit notes, receipts and allocations with aged-debtor control and premium payment warranties.
Insurer remittances
A true creditor ledger of what you owe each insurer — bulk remittances with printable advices.
Compliance packs
PIA quarterly returns and ZRA levy summaries produced from the same ledgers you operate on.
See RISKCAPE Broker in action
A 30-minute walkthrough with our product team, tailored to your operation.
Request a demo