insurance space is seeking a Medical Claims Clinical Auditor to join their team based in Port Elizabeth - on Bellville (Cape Town) or Centurion Responsibilities Internal Process: Apply scheme rules, clinical policies clinical support to non-clinical hospital claim auditors in terms of hospital tariff applications and clinical timeously. Build and maintain relationships with internal and external stakeholders. Reduce claim rejections
insurance space is seeking a Medical Claims Clinical Auditor to join their team based in Port Elizabeth - on Bellville (Cape Town) or Centurion Responsibilities Internal Process: Apply scheme rules, clinical policies clinical support to non-clinical hospital claim auditors in terms of hospital tariff applications and clinical timeously. Build and maintain relationships with internal and external stakeholders. Reduce claim rejections
goes with most component drawings. VDA6.3 internal auditor certification. Press shop and welding experience & Science. Tertiary qualifications listed: Internal Auditing Encona, City & Guilds NMU, FMEA and 16949 requirements System/process auditor qualification Encona VDA6 auditor Conducting manufacturing process
to Stats SA. Internal Controls and Audit Support: Assist in ensuring effective internal controls, including stock takes and ad hoc internal audit tasks. Maintain audit files and assist auditors during external audits report by 31 August and provide audit files to auditors by 1 May. Maintain audit files on a monthly basis
to Stats SA. Internal Controls and Audit Support: Assist in ensuring effective internal controls, including stock takes and ad hoc internal audit tasks. Maintain audit files and assist auditors during external audits report by 31 August and provide audit files to auditors by 1 May. Maintain audit files on a monthly basis
Load creditor payments, salaries, and wages onto banking platform (currently FNB Business Online). Recon Act (COIDA) on an annual basis. Perform monthly bank reconciliations. Prepare monthly management accounts asset registers. Prepare information and data for auditors. Prepare budget and monitor variances against
Load creditor payments, salaries, and wages onto banking platform (currently FNB Business Online). Recon Act (COIDA) on an annual basis. Perform monthly bank reconciliations. Prepare monthly management accounts asset registers. Prepare information and data for auditors. Prepare budget and monitor variances against
relating to the business and property portfolio (internal and external), farms and yachts. Manage all aspects matters. Financial Responsibilities: Banking and Cash: Manage Bank accounts, reconciliations and movements over EFT usage. Liaise with banks wrt funding, overdrafts, interest rates, bank charges, opening and closing
relating to the business and property portfolio (internal and external), farms and yachts. Manage all aspects matters. Financial Responsibilities: Banking and Cash: Manage Bank accounts, reconciliations and movements over EFT usage. Liaise with banks wrt funding, overdrafts, interest rates, bank charges, opening and closing
commission system. Monitor and reconcile the daily bank statement relating to commission / fee deposits provider commission statements relative to the daily bank deposits received. Create and process manual commission management - with product providers on queries and internal queries received from the regions. Request and necessary. Managing suspense entries in line with internal business processes. Preparation of month end reconciliation