Base: $4,617.67 monthly; bonus/equity: not specifi...
Daily bank reconciliation
Axium to famis reconciliation
Revenue and deposit posting
Supports daily and monthly financial reconciliation processes for clinic operations, including bank activity and EMR to financial system reconciliation
Job Summary
Supports daily and monthly financial reconciliation processes for clinic operations, including bank activity and EMR to financial system reconciliation.
Responsible for reconciling revenue, refunds, and deposits, and collaborating with third-party billing vendors and Clinical Affairs to resolve discrepancies.
Texas A&M University offers a comprehensive benefits package including medical, dental, vision, retirement, and professional development opportunities.
Matching Summary
Supports daily and monthly financial reconciliation processes for clinic operations, including bank activity and EMR to financial system reconciliation.
Salary
Base: $4,617.67 monthly; Bonus/Equity: Not specified; Benefits: Not specified