- Bank of America (Palm Beach Gardens, FL)
- …minimal direction **Responsibilities:** + Performs standard transaction processing and reconciliation according to the established guidelines and procedures + ... position. **Shift:** 1st shift (United States of America) **Hours Per Week:** 37.5 Bank of America and its affiliates consider for employment and hire qualified… more
- TD Bank (Lake Mary, FL)
- …diversity, inclusion and community support/giving. Department Overview: Our team believes the Bank of the future will be driven by customer centricity. By ... meeting the needs of our customer, TD Securities will set itself apart as the Bank that truly "thinks customer". The mandate of the Client Enablement team is to… more
- TD Bank (Fort Lauderdale, FL)
- …applications: RM, IM, ST, FM + Familiarity with application balancing and GL reconciliation + Experience working with both waterfall and agile methodology + TSO/ISPF ... leading global financial institutions and is the fifth largest bank in North America by branches/stores. Every day, we...colleagues bring their skills, talent, and creativity to the Bank , those we serve, and the economies we support.… more
- University of Miami (Palm Beach Gardens, FL)
- …+ Collects and processes large amounts of currency and performs end of day cash-drawer reconciliation and timely bank deposits. + Cross trained to carry out all ... Front-End Revenue Cycle and Clinical Support functions and able to float across all areas and assist as needed. Knowledge of health care regulatory guidelines and compliance requirements including but not limited to: OSHA, HIPAA, JC, AHCA, EMTALA, and CMS.… more
- University of Miami (Boca Raton, FL)
- …Collects and processes large amounts of currency and performs end of day cash-drawer reconciliation and timely bank deposits. + Assists department in meeting all ... established key performance indicator goals: Co-pay, Previous Balances, Estimate Collections, Patient Satisfaction, Accuracy Rates, and Processing Time. + Maintains a close working relationship and open communication with all members of the healthcare team to… more
- University of Miami (Doral, FL)
- …Collects and processes large amounts of currency and performs end of day cash-drawer reconciliation and timely bank deposits. + Assists department in meeting all ... established key performance indicator goals: Co-pay, Previous Balances, Estimate Collections, Patient Satisfaction, Accuracy Rates, and Processing Time. + Maintains a close working relationship and open communication with all members of the healthcare team to… more
- University of Miami (Miami, FL)
- …Collects and processes large amounts of currency and performs end of day cash-drawer reconciliation and timely bank deposits. + Assists department in meeting all ... established key performance indicator goals: Co-pay, Previous Balances, Estimate Collections, Patient Satisfaction, Accuracy Rates, and Processing Time. + Maintains a close working relationship and open communication with all members of the healthcare team to… more
- University of Miami (Miami, FL)
- …+ Collects and processes large amounts of currency and performs end of day cash-drawer reconciliation and timely bank deposits. + Cross trained to carry out all ... Front-End Revenue Cycle and Clinical Support functions and able to float across all areas and assist as needed. Knowledge of health care regulatory guidelines and compliance requirements including but not limited to: OSHA, HIPAA, JC, AHCA, EMTALA, and CMS.… more
- University of Miami (Miami, FL)
- …Collects and processes large amounts of currency and performs end of day cash-drawer reconciliation and timely bank deposits. + Assists department in meeting all ... established key performance indicator goals: Co-pay, Previous Balances, Estimate Collections, Patient Satisfaction, Accuracy Rates, and Processing Time. + Maintains a close working relationship and open communication with all members of the healthcare team to… more
- Carnival Cruise Line (Miami, FL)
- The Cash Applications Clerk is responsible for posting incoming bank wires, ACH and check payments to reservations, general ledger accounts, and credit card ... contacts from several banking institutions and other outside vendors. Performs daily bank reconciliations and duties related to month end closing. Works in… more