of clients so you do not have to rely on cold calling Our company structure is different than other Insurance Sales manager, Insurance sales / insurance broker. Calling on government workers appeared first on freerecruit
skilled Role:
Sales/Walk in / Call Centre/Schools/Re reg/Returning (outputs can be shared
operations, ensuring compliance with accounting standards, and providing strategic insights to support their timeline. Reporting Prepare and report month-end cost centre P&Ls and business case P&L. Submit Monthly Financial Manager for the approval of new vendors Banking Serve as backup for the Financial Manager for the
Execution Call schedules and planning/ Weekly and Monthly Call execution and order objectives met Call administration with the company image Displays high ethical standards and a team player Be able to generate new customers
Execution Call schedules and planning/ Weekly and Monthly Call execution and order objectives met Call administration with the company image Displays high ethical standards and a team player Be able to generate new customers
Execute promotions in alignment with brand equity standards. Channelize promotions for optimal brand-channel Methodically administer and update call cycles. Achieve 100% adherence to the call cycle. Ensure accurate coding Fulfil all requirements during representative calls. Timely completion of administrative and reporting
have dealt with health specialist as clients in calling them for debt collection To maintain, control and reconciliation of Electronic Remittance Advice (ERA) and bank statements Obtain and input manual Remittance Advices
have dealt with health specialist as clients in calling them for debt collection To maintain, control and reconciliation of Electronic Remittance Advice (ERA) and bank statements Obtain and input manual Remittance Advices
the Charging, VAS, CRM, Self Service, Portal, Call Centre and Business information systems space Any Project
● Daily processing of cash book entries from the bank statements ● Ensuring correct allocations from cash general ledger ● Reconciling /- 20 cash books to bank statements by the third working day of the following