- Emanate Health (Covina, CA)
- …Requirement:** Five (5) years of experience required. Experience includes: hospital billing and collection experience such as clinical denials or reference to ... a denials management department. Thorough knowledge of medical terminology and coding . **Minimum License Requirement:** None Delivering world-class health care one… more
- Robert Half Finance & Accounting (Sacramento, CA)
- …Responsibilities: Accounts Payable (AP): + Process vendor invoices and ensure proper coding and approvals. + Reconcile vendor statements and resolve discrepancies. + ... aging reports and follow up on outstanding balances. + Assist with monthly billing and tenant account adjustments. + Coordinate with property managers on tenant… more
- CBRE (San Francisco, CA)
- …Oversee the preparation of budgets, monthly reports, and financial projects. Manage the coding and processing of vendor invoices, billing , expense reports, and ... accounts receivables. Review and monitor data reports including Accounts Receivable, Income, EBITDA, pipeline, and other business metrics. Evaluate income and expense trends to find opportunities to improve profitability. Schedule internal compliance reviews.… more
- Robert Half Finance & Accounting (Modesto, CA)
- …weekly cash requirements reports * Collaborate with internal team members to resolve billing errors * Ensure timely processing of discounts, sales and use taxes, and ... in a similar role within the manufacturing industry * Proficiency in account coding and accrual accounting * Experience with accounting software systems * Knowledge… more
- Niagara Bottling LLC (Diamond Bar, CA)
- …analyze accounts receivable activity for assigned customers, assisting in resolving billing discrepancies and tracking collections as needed. + Design, develop, and ... manufacturing cost structures, variance analysis, and cost drivers preferred + Experience with coding in Python, R, or comparable tools is a plus This position… more
- Sedgwick (Sacramento, CA)
- …journal entries. + Accounts payable for risk pool clients, including coding checks, verifying signatures, processing checks, filing, and related journal entries. ... safeguard quality assurance. + Prepares deposits, posts receipts, and reconciles billing . + Prepares bank and investment account reconciliations. + Researches,… more
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