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This position will also support the financial processes of other departments of the University and assist in processing, relationship management, audit, and reconciliation of general ledger, bank, credit card, merchant card, and other processes or accounts.
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Work closely with HQ Reporting on any inquires and HFM top side entries and reconciliation of local TBs with HFM TBs per US GAAP. Perform or review of reconciliation of all sub-ledger reconcile to general ledger at the closing, to assess reasonableness of the balances at the period end and the compliance of US GAAP.
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Check for possible duplicate USCIS Filing fees via reconciliation process. The Billing Coordinator will be highly analytical with strong systems skills and possess the ability to work with case workers, IT, Invoice Delivery and Collections, and other cross functional partners to ensure successful revenue control management and reporting.
$38,000 - $50,000 a yearFull-timeExpandApply NowActive JobUpdated Today - UpvoteDownvoteShare Job
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Responsibilities include answering customer calls and providing prompt issue resolution; data entry; assisting in account reconciliation; preparing reports and invoices; processing new accounts and orders; making outbound customer calls to obtain information and/or to provide follow up to resolve customer issues; and occasional miscellaneous projects.
$24 - $27 an hourFull-timeExpandApply NowActive JobUpdated Today - UpvoteDownvoteShare Job
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Be responsible for all vendor management which includes ordering equipment and supplies, managing and monitoring service levels, invoice reconciliation and vendor services. They focus on fixed income investment and alternative investment activities and practices with a focus on venture capital and private equity.
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We provide an entire internal operational support team for our clinicians to handle the tasks of pre-populating the medication reconciliation, tracking down DME orders, getting MD signatures, coding, lab follow-up, etc., truly allowing you to function independently, with the flexibility to make your own schedule and plan patient visits around other commitments if needed.
$90,000 - $160,000 a yearExpandApply NowActive JobUpdated Today - UpvoteDownvoteShare Job
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Maintains a current medication list in EPIC by performing medication reconciliation at each patient visit. Comfort and skill interviewing patients, family members, medical providers, and pharmacy staff in an effort to facilitate medication reconciliation.
$111.92ExpandApply NowActive JobUpdated Today - UpvoteDownvoteShare Job
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The ideal candidate is a licensed Registered Nurse with at least one year of health care work experience preferred, ideally as a Registered Nurse (RN); is skilled in case management and triage assessment; knowledgeable in care coordination; experienced in medication reconciliation; has worked with the underserved population and on interdisciplinary teams.
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The team's specific responsibilities include reconciliation of transactional data from various sub ledgers (Aladdin, Clearwater, Investran and LMS) to the general ledger and ultimately the client's financial statements, as well as all related external reporting for investments (10-Q/K, Financial Supplement, STAT Audited Financials and Investment NAIC reporting.
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Collaborate with external parties (CMOs / CPOs / 3PLs) and internal stakeholders (commercial, finance, CMC, quality) on monthly inventory reporting and reconciliation. Work closely with QA to ensure alignment with release documentation and QA lot genealogy tracking.
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This involves performing a variety of clerical and technical duties associated with the management and oversight of a program's medical records including, but not limited to: assembling, analysis, release of information, data processing, collection, reconciliation and preparation of reports in a manner consistent with medical, administrative, ethical, legal and regulatory requirements of a mental health care system.
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Knowledge of full cycle accounting/finance processes: AR/AP, order-to-cash, procure-to-pay, record-to-report, financial planning & analysis, month end close, reconciliation, intercompany eliminations, consolidation and financial reporting.
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Collaborate with the Clinical Development Team in clinical trial sample management including the strategy, planning, and vendor oversight of the processing, tracking, and reconciliation of biomarker, PD, PK, and other types of biological samples, collected for an assigned project.
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This compensation information is a good faith estimate and provided in accordance with California local city or state law. Proficiency with Microsoft Office (Word, Excel and Outlook) and intranet/internet.
$20.9 - $25.6 an hourFull-timeExpandApply NowActive JobUpdated Today - UpvoteDownvoteShare Job
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Reviews and guides staff accountant's daily work including but not limited to reviewing: daily non post entries, ACH transaction reports for suspicious or unusual transactions, back-up withholding reconciliation and remittance, various correspondent bank accounts and suspense account reconciliations.
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reconciliation job in Brisbane, CA
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