Associate 2 (Taytay CSC)
Indexed description
Job Description:
Job Description (heading) / Description Du Poste (titre)
- The position is responsible for the accurate and timely processing of all types of payments, and resolving or facilitating of all types of inquiries and requests, from walk-in clients at the Client Service Centers.
- It is accountable for ensuring that daily collections are properly accounted for, reported, and deposited within company standards; the proper safekeeping of all cash and check collections, working change, petty cash fund, provisional receipt booklets and official receipts.
- It is responsible for performing various office management tasks; for one-man Client Service Centers assignments, it is responsible for various sales/marketing-related tasks.
- New Business, Cashiering; Knowledge & understanding of INGENIUM, PRISM, WMS, IPAC, CRM, LGS, CAS, PR, Lockbox, POS machine, SMARTQ, etc.
Core Competencies:
- Collaborates effectively
- Communicates confidently
- Focuses on the client
- Takes accountability
- Understands our business
- Adaptable to change
- Flexible
- Honest
- Has integrity
- Stress-tolerant
- Has good work ethics
- Resolves all types of inquiries and requests at the counter in a timely, accurate, professional
ensuring counter service levels are met; Facilitates requests for processes beyond the scope of
the Client Service Center; Coordinates with backend support unit/dept and or Sr. CC staff for
requests requiring changes and adjustments in their policy/plan records.
- Scans new business and conversion applications (SLOCPI, SLGFI, and MF) following
ensuring service level targets are met.
- Facilitates/Processes disbursement-related transactions (TRAD, VUL, MF) such as
pay-outs; monitors receipt of plan termination checks, non-cash transactions, etc.
ensuring service levels are met.
- Receives and processes payments for all four lines of businesses; issues official
guidelines, procedures, and ensuring service levels are met;
- Handles Petty Cash Fund ensuring that the receipts and fund are balanced at all times and are
Fund, if any, is composed of loose bills/coins at all times to be disbursed as loose change
- Prepares various pre-formatted correspondences and facilitates client’s computation
- Prepares monthly reports, files confidential records, acts as backup to other Client Service Center
- Maintains the standard Look and Feel at the Client Service Centers.
- Performs the following sales/marketing – related tasks: (one-man Client Service Center-
- Prepares daily monitoring report on life, and mutual funds new business
- Distributes monthly the updated MF sales presentation materials to the licensed MF
- Coordinates and handles Proposal System/AMS related upgrades
- Monitors, maintains and conducts monthly inventory of the ISO’s supplies, forms and
- Posts company-related updates in the bulletin board
- Monitors and updates promos
- Facilitates resigned agent’s surrendered items
- Distributes status cards, duplicate O.R., Memos/Circulars, Policy Contracts
- Performs the following office management tasks:
- Monitors, maintains and conducts regular inventory of office supplies, forms and
- Reports equipment/furniture/premises-maintenance issues to appropriate HO units
- Handles and coordinates incoming and outgoing documents and materials for the
- Prepares, coordinates and follows-up check requests and payments for various office
- Coordinates logistics as required for Sunlife-initiated training and events.
Posting End Date:
30/12/2026
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