- Mount Sinai Health System (New York, NY)
- …information is includes. This information includes the patients name, account /case number, hospital registration code, patient's diagnosis, insurance carrier, ICD9 ... each voucher is done daily and delivers them to their designated area. Reconciliation log kept **About Us** **Strength through Unity and Inclusion** The Mount Sinai… more
- Highmark Health (Westfield, NY)
- …transactions as appropriate in the ADT system and performs daily reconciliation . Identifies self-pay and complex liability calculations and escalates account ... to Financial Counselors as appropriate. (20%) + Delivers positive patient experience. Cooperates with and maintains excellent working relationships with patients, AHN leadership and staff, physician offices and designated external agencies or vendors.… more
- City of New York (New York, NY)
- …and guidelines; assist with the preparation of the Bureau's monthly revenue bank reconciliation reports to ensure accuracy prior to submission to senior managers for ... senior management. The position will have access to financial data including bank account information. As such, the individual requires a high degree of discretion… more
- University of Rochester (Rochester, NY)
- …preferences and concerns, and obtaining reports or recommendations. + Manages budget reconciliation , OMSEP expenditures and account balances + Plans and ... administers annual meetings such as but not limited to: Research and Community Faculty Advisory Boards; Summer and Year-out Research Meeting, Annual Community Outreach Fair, and special events. + Maintains content on OMSEP website and Blackboard. + Provides… more
- Akwesasne Mohawk Casino Resort (Hogansburg, NY)
- …prepaid assets to appropriate accounting period. + Maintains General Ledger and account reconciliation and analysis. + Analyzing and reconciling monthly gift ... Developing and posting journal entries from daily revenue audit reports + Reconciliation of monthly bank statements (including foreign accounts), + Analyzes … more
- St. John Fisher College (Rochester, NY)
- …the necessary journal entries. + Oversees the monthly remittance and reconciliation of the medical, dental, life/dependent insurance, long and short-term disability ... and benefit contributions. + Oversees the bi-weekly electronic remittance and reconciliation of retirement plan deductions and benefit contributions. Maintain the… more
- IQVIA (New York, NY)
- …manage and meet contractual obligations. Service Management: + Meet with Data Operations Coordinator (DOC) and/or Data Operations team members on a regular basis to ... + Implement proactive quality management plans across multiple projects/programs/customer account . Manage service performance and provide leadership to identify root… more
- City of New York (New York, NY)
- …timely, and that all misdirected funds are properly rerouted to the correct account resulting in the proper enforcement of child support orders. Accounting resolves ... updated, reconciled, and accurately maintained. Under general supervision of the Coordinator of Accounting, with some latitude for independent imitative and… more
- Elderwood (North Creek, NY)
- …of quarterly reports to be sent to all residents. + Performs bank reconciliation to resident accounts. + Initiates billing for residents paying for care with ... information about billing payments and safeguarding of funds and Resident Account procedures or authorizations as necessary; answers inquiries about rate increases… more
- Greater Southern Tier BOCES (Elmira, NY)
- …Supervises clerical employees assigned to the purchasing office. + Monitors Budget account reconciliation for all purchase requisitions processed. + Supervises ... under the general supervision of the Central Business Office. The Purchasing Coordinator must exercise careful judgment in his/her work since erroneous decisions may… more