In this role you will be responsible for the day-to-day servicing of surety clients. This will involve building relationships and working closely with client-decision makers, executing deliverables on our client’s behalf in accordance with our SLA’s and SOPs and completing various administrative tasks. Duties include but are not limited to: Issuance of surety bonds as well as perform associated activities based on the specific instructions of the client and / or client manager as communicated Ab... more details
Assistant Client Services Specialists – Surety are integral members of our account management teams who proactively obtain, compile, and follow-up on information critical to providing exceptional consulting, placement, and advocacy for Willis Tower Watson clients and prospects.
If you’re looking to work with a great team of exceptional Property & Casualty professionals while building your knowledge, skills and technical and professional experience with a stable, respected and dominant player in the world of global risk management and consulting, apply for this role today!
You will be required to work Monday-Friday from 9:00 AM - 6:00 PM. Note: Employment-Based Non-Immigrant Visa Sponsorship and/or Assistance is not offered for this specific job opportunity.
The Role: In this role you will be responsible for the day-to-day servicing of surety clients. This will involve building relationships and working closely with client-decision makers, executing deliverables on our client’s behalf in accordance with our SLA’s and SOPs and completing various administrative tasks. Duties include but are not limited to:
Issuance of surety bonds as well as perform associated activities based on the specific instructions of the client and / or client manager as communicated
Ability to understand and interpret the information presented in a bond request
Ability to quickly and accurately enter data from a bond request into the bond issuing system.
Process renewals, cancellations/closures, and riders
Assist with resolution of client/carrier accounting issues
Prepare and submit billing.
Report bonds to carriers and associated filing activities.
Prepare written correspondence, reports and analysis as needed for management
Communicate effectively with clients, client managers and other team members
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