Mary Faulkner
Underwriting Assistant at Intact- Claim this Profile
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Bio
Credentials
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Building Resilience
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Experience
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Intact
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Canada
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Insurance
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700 & Above Employee
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Underwriting Assistant
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Jan 2018 - Present
Duties Updating new “shell” policy’s being converted from Halcion to ContactHaving strong attention to detailStrong will power to self-manage work pace/workloadWorking on max amount of data daily
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Customer Service / Accounts
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Aug 2012 - Jan 2018
Duties Customer Services Inquiries (Re: Billing)Processing and Balancing AccountsHandling complaint calls, and inquiry calls from brokers and ClientsCompleting daily reportsProcessing invoiced and sending them out dailyHandling Large amounts of cash and posted to accounts
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Softmoc Inc
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Calgary, Canada Area
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Assistant Team Manager
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2010 - 2011
Duties Responsible merchandising Supervised and inspired employees Responsible for opening and closing market Prepared daily sales reports and bank deposits Responsible for administration and control of financial transactions in retail environment Supervise all customer services, display merchandising, maintenance, sanitation and employee training Done other duties as assigned. Duties Responsible merchandising Supervised and inspired employees Responsible for opening and closing market Prepared daily sales reports and bank deposits Responsible for administration and control of financial transactions in retail environment Supervise all customer services, display merchandising, maintenance, sanitation and employee training Done other duties as assigned.
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Aurum Ceramic Dental Lab
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United States
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Airlines and Aviation
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Invoicing/Customer Service Representative II
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2008 - 2010
Duties Invoicing finished dental cases Customer Services Inquiries (Re: Billing and Deliveries) Duties Invoicing finished dental cases Customer Services Inquiries (Re: Billing and Deliveries)
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Piazza Joes and Rum Runners
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Charlottetown, PEI
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Office Assistant
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2007 - 2008
Duties Reconciling Cash bags handled, Cash, Visa, Debit, MasterCard Preparing Bank Deposit Totaling and Balancing Daily Sales Sheets Balancing all sales Invoicing and book keeping end of day Duties Reconciling Cash bags handled, Cash, Visa, Debit, MasterCard Preparing Bank Deposit Totaling and Balancing Daily Sales Sheets Balancing all sales Invoicing and book keeping end of day
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Niko Video
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Charlottetown, PE
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Store Manager
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2006 - 2007
Duties Received and placed orders for video shipment Recharged cards, handled Cash, Debit, Visa, and MasterCard Prepared and delivered bank deposit Calculated and prepared payroll for employees Duties Received and placed orders for video shipment Recharged cards, handled Cash, Debit, Visa, and MasterCard Prepared and delivered bank deposit Calculated and prepared payroll for employees
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Education
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Insurance Institute of Canada
Insurance -
University of Prince Edward Island