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Departments reporting to this position include: Appeals and Grievance, Claims, Enrollment and Reconciliation, Premium Billing, Member Service and Experience, and Member Innovation. Establishes the review of enrollment and reconciliation across product channels by aligning key assumptions with actual performance.
$300,000 - $350,000 a yearFull-timeExpandApply NowActive JobUpdated 2 days ago - UpvoteDownvoteShare Job
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Experience at the level of Los Angeles County's class of Accountant I is defined as performing a variety of entry level accounting assignments in the preparation, analysis, review, maintenance, reconciliation, and control of financial records and fiscal revenue and expenditures forecasting.
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This temporary contract position requires a detail-oriented individual with a strong understanding of general ledger management, account reconciliation, financial analysis, accounts payable, accounts receivable, and grants management.
$80,000 a yearExpandApply NowActive JobUpdated Today - UpvoteDownvoteShare Job
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Obtain vital signs, provide po fluids/snacks as tolerated, perform/reinforce post-operative teaching, and provide patient with written post-op instructions, including medication reconciliation.
Starting at $33 an hourFull-timeExpandApply NowActive JobUpdated Today - UpvoteDownvoteShare Job
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Reporting: quarterly FFR reports; Medi-Cal Reconciliation, Medicare Cost Report, OSHPD and UDS reporting as requested. Assist in financial recordkeeping, year-end closing of finance books including reconciliation of accounts.
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OBSERVES REGULATORY AGENCY REQUIREMENTS: National Patient Safety Goals, Patient identifiers, Unapproved abbreviations, Universal Protocol (Procedural Time Out), Hand-Off, Medication Reconciliation, Clinical Alarms, Other: Hazardous waste management, Biohazard, Medication, Sharps.
Part-timeExpandApply NowActive JobUpdated Today - UpvoteDownvoteShare Job
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OBSERVES REGULATORY AGENCY REQUIREMENTS: National Patient Safety Goals Patient identifiers Unapproved abbreviations Universal Protocol (Procedural Time Out) Hand-Off Medication Reconciliation Clinical Alarms Other Hazardous waste management Biohazard Medication Sharps HIPAA OSHA requirements (i.e. no food or drink in clinical areas) JCAHO â continuous survey readiness Critical Values ÂWrite Down.
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Will provide phone and email support for various Treasury Management products and services including but not limited to Business Online Banking, Account Reconciliation, Positive Pay, ACH, Tax Payments, Wire Transfers, Cash Vault, Lockbox, and Remote Deposit Capture.
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Responsible for the coordination of clinic appointments, medication reconciliation, PCP and SPC visits. Collaborate and communicate with all members of the healthcare team (concurrent review, pre-authorization, PCP/SPC, Social Services, and Pharmacy) to coordinate the continuum of care of developing plans for management of each case.
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Perform daily reconciliation of financial transactions, including but not limited to accounts payable, accounts receivable, cash receipts, and disbursements. Work with the Production Accounting manager to enter, code, and reconcile billback invoices and production cash transactions in support of the Studio production teams.
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Ensures accurate patient problem list and medication reconciliation on admission and discharge. Must have a National Provider Identifier (NPI) and be enrolled in the Provider Enrollment, Chain, and Ownership System (PECOS) within 90 days of hire.
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Essential Functions and Responsibilities of the Job Perform clinical and utilization review duties related to specific pharmacy-related quality metrics pertaining to adherence to therapy, appropriateness of therapy and medication reconciliation.
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As a Senior Reporting Accountant, you should have strong GAAP knowledge framework, will be responsible for month-end close procedures, maintaining general ledger, the reconciliation of account balances, bank statements and credit card statements, reviewing Accounts Receivable and Accounts Payable subledgers.
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RNs conduct medication reconciliation when needed. Molina Healthcare Services (HCS) works with members, providers and multidisciplinary team members to assess, facilitate, plan and coordinate an integrated delivery of care across the continuum, including behavioral health and long term care, for members with high need potential.
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Maintain an accurate, up to date Purchase Order Log Sort and verify accuracy of Night Audit work (primarily receivables aspect), i.e. including reconciliation of banquet check extensions, coding of banquets at cost, review and route sales and promotion checks with back-up.
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reconciliation job in Carson, CA
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