Claims Paid from Your Bank Account

On September 4 funds remaining in your school Flex account with CSI will be transferred by ACH to the bank account you indicated on your enrollment materials. This amount will match the total on the enclosed Employee Account Balance report. If the balance is negative, it means that CSI has paid out more in claims than your school has paid and you will not receive an ACH but will need to reimburse CSI. Arcadia will continue to process claims and will pay them from your school’s bank account. A Payment Register will be sent each month to assist you in reconciling the account.

Full Issue: No. 56 - August 29, 2008

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