Elizabeth - on a 6 month fixed term contract. Nursing Diploma or Degree essential EE candidate preference The purpose of this temporary role is to ensure hospital claims are audited timeously and accurately with have a Nursing Diploma or Degree. The incumbent must be registered with the South African Nursing Council Registered Nurse. MS Office / Office 365 proficiency. Minimum of 2 years' private hospital nursing experience policies and protocols to funding. Action allocated hospital claims for audit within department KPIs and CMS
Elizabeth - on a 6 month fixed term contract. Nursing Diploma or Degree essential EE candidate preference The purpose of this temporary role is to ensure hospital claims are audited timeously and accurately with have a Nursing Diploma or Degree. The incumbent must be registered with the South African Nursing Council Registered Nurse. MS Office / Office 365 proficiency. Minimum of 2 years' private hospital nursing experience policies and protocols to funding. Action allocated hospital claims for audit within department KPIs and CMS
/>The purpose of this temporary role is to ensure hospital claims are audited timeously and accurately with
Our client specializing in the Property & Hospitality Sector, specifically student accommodation; is qualification). Experience in property management. Hospitality experience. Understand service delivery, student
Our client specializing in the Property & Hospitality Sector, specifically student accommodation; is qualification). Experience in property management. Hospitality experience. Understand service delivery, student
ong>Tasks:
SAP
Tasks:
reconciliations to ensure that entries have been posted correctly, all assets have been loaded correctly Maintaining accounting ledgers by verifying and posting account transactions. · Managing the petty cash cash and credit cards. · Preparing and posting monthly journals. · Preparing monthly management accounts
reconciliations to ensure that entries have been posted correctly, all assets have been loaded correctly Maintaining accounting ledgers by verifying and posting account transactions. · Managing the petty cash cash and credit cards. · Preparing and posting monthly journals. · Preparing monthly management accounts
reconciliations to ensure that entries have been posted correctly, all assets have been loaded correctly