located in Johannesburg North is looking for a Clinical Auditor to join their team Minimum Education: nurse) Minimum Experience: 3 to 5 years (previous clinical auditing experience in a managed healthcare environment accounts under the guidance of the gazette Use clinical guidelines and protocols when vetting accounts accounts payment Schedule the weekly roster for the clinical auditors Work with other healthcare personnel personnel within the organisation Provide clinical expertise within the organisation where required Negotiation
located in Johannesburg North is looking for a Clinical Auditor to join their team Minimum Education: nurse) Minimum Experience: 3 to 5 years (previous clinical auditing experience in a managed healthcare environment accounts under the guidance of the gazette Use clinical guidelines and protocols when vetting accounts accounts payment Schedule the weekly roster for the clinical auditors Work with other healthcare personnel personnel within the organisation Provide clinical expertise within the organisation where required Negotiation
Reference: JHB004780-Maris-1 A well-established company based in Edenvale is seeking a Bookkeeper to
Reference: JHB004780-Maris-1 A well-established company based in Edenvale is seeking a Bookkeeper to
Reference: JHB004784-Maris-1 Manufacturing company based in Randburg is seeking an Accountant to join
Reference: JHB004784-Maris-1 Manufacturing company based in Randburg is seeking an Accountant to join
Reference: PTA000738-Maris-1 Join Our Team as an Accountant/Senior Accountant in Johannesburg Are you
Reference: PTA000738-Maris-1 Join Our Team as an Accountant/Senior Accountant in Johannesburg Are you
accounts. Reconciliations Daily reconciliation of all clinic receipts/banking (cash, yoco and medical aid receipts) reconciliations of pharmacy inventory for all clinics (inventory receipts, issues, and balances.) Weekly and allocations. Compile weekly report for each clinic on claim status. Weekly follow-up on medical aid
accounts. Reconciliations Daily reconciliation of all clinic receipts/banking (cash, yoco and medical aid receipts) reconciliations of pharmacy inventory for all clinics (inventory receipts, issues, and balances.) Weekly and allocations. Compile weekly report for each clinic on claim status. Weekly follow-up on medical aid