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Job Posting:Fund Reconciliation Specialist. Fund Reconciliation Specialist. The Financial Management Branch (FMB), within the CDPH Administration Division, is responsible for the preparation, analysis and management of the Department’s budget, maintenance of accounting records and financial data, and acts as the liaison with the Department of Finance (DOF), Legislative Analyst’s Office, Legislative Budget staff, and the federal government on budget and fiscal matters affecting the Department.
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Manages the accurate collection posting and reconciliation of occupancy taxes sales taxes and transient marketing district (TMD)fees. The Controller is responsible for all activities related to budgeting forecasting profit and loss reporting and account reconciliation for operating and balance sheet accounts for our hotel location.
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Experience with one or more Dynamics 365, Coupa, OneStream/Hyperion, Concur, reconciliation tools like Trintech/Duco/IVP/Blackline desired. Experience with one or more Dynamics 365, Coupa, OneStream/Hyperion, Concur, reconciliation tools like Trintech/Duco/IVP/Blackline desired.
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Coordinates and oversees the patient care activities of the RDOG, including: recruitment, supervision and training of staff; daily monitoring and reconciliation of patient billing and revenue generated through outpatient clinical services, including the Visual Physiology Laboratory and the Ophthalmic Genetic Counseling Program; and the development of effective administrative systems for patient appointment scheduling and the delivery of patient care.
$31.03 - $65.09 an hourFull-timeExpandApply NowActive JobUpdated Today - UpvoteDownvoteShare Job
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The Transitions of Care Pharmacy Technician at Cedars-Sinai Medical Center in Los Angeles, Ca will assist the pharmacist with medication reconciliation tasks by interviewing patients, obtaining and updating the medication history, and documenting it in the electronic medication record.
$23.18 - $34.77 an hourFull-timeExpandApply NowActive JobUpdated 7 days ago - UpvoteDownvoteShare Job
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Provides oversight for operation of patient care facilities and associated patient service resources, including the Visual Physiology Laboratory and the Ophthalmic Genetic Counseling Program. Responsible for the management of daily operations for patient care services at the JSEI including the services provided by the Visual Physiology Laboratory and the Ophthalmic Genetic Counseling Program.
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This position works closely with the Behavioral Health Senior Director, Regional Directors, Managers, and Supervisors of each site providing data, analysis and trending of billings, denials, unbilled claims, revenue management, and receivable payable reconciliation.
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Manage bi-weekly payroll uploads and reconciliation with Ceridian, connect with HR as needed to ensure process runs smoothly and efficiently. Lead event-driven accounting operations including event settlement, preparing journal entries, billing, A/R, A/P, balance sheet reconciliation, cost accounting, and revenue recognition.
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Reviews lab values; performs medication reconciliation; reports abnormal findings to provider and intervenes as appropriate. The Licensed Vocational Nurse (LVN) reports to the Nurse Manager and is responsible for managing the individualized patient care by promoting and restoring patients' health through the nursing process; collaborating with physicians and multidisciplinary team members; providing physical and psychological support to patients.
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Vendor Administration : Coordinates outside vendor relationships for office services, including equipment maintenance, water delivery, coffee service, newspaper delivery and invoice reconciliation.
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Incumbent prioritizes workload and provides expert level support to include various treasury management products and services including but not limited to D1 (On-line Banking), Account Reconciliation, Positive Pay, ACH, Tax Payments, Wire Transfers, Cash Vault, Lockbox, and Remote Deposit Capture.
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Conduct medication reconciliation and ensure proper disposal and pickup of bio-medical/pharmaceutical waste. This position also qualifies for $1.50 swing shift differential and $3 graveyard shift differential.
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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 monthly reconciliation of accounts payable & accounts receivable. In 2021, Apex joined the Kuehne+Nagel Group and together have become the Number 1 Global Air Freight Forwarder. Established in 2001, Apex Logistics International has become a top dependable solution for those seeking expertise in freight forwarding, contract logistics, customs brokerage, transportation management, warehousing, and distribution.
$25 - $35 an hourFull-timeExpandApply NowActive JobUpdated 23 days ago - 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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reconciliation job in Los Angeles, CA
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