The Shipping Coordinator is responsible for the efficient processing and shipment of outgoing orders, including tasks like picking, packing, labeling, and loading products onto delivery vehicles, ensuring accurate and timely delivery to customers while adhering to company shipping standards and procedures.Responsibilities:Load packages onto delivery trucks or other transport methodsMaintain accurate inventory levels by tracking outgoing shipmentsInspect pa
The Shipping Coordinator is responsible for the efficient processing and shipment of outgoing orders, including tasks like picking, packing, labeling, and loading products onto delivery vehicles, ensuring accurate and timely delivery to customers while adhering to company shipping standards and procedures.Responsibilities:Load packages onto delivery trucks or other transport methodsMaintain accurate inventory levels by tracking outgoing shipmentsInspect pa
The Revenue Cycle Coordinator (RCC) is responsible for managing clients' accounts through the entire revenue cycle process surrounding the dispensation and reimbursement of medications to treat people with bleeding disorders. The RCC is assigned specific third-party payers and works with designated Payer Relations Account Managers to optimize reimbursement. It is the responsibility of the RCC to follow and track the claim from creation of an order, through
The Revenue Cycle Coordinator (RCC) is responsible for managing clients' accounts through the entire revenue cycle process surrounding the dispensation and reimbursement of medications to treat people with bleeding disorders. The RCC is assigned specific third-party payers and works with designated Payer Relations Account Managers to optimize reimbursement. It is the responsibility of the RCC to follow and track the claim from creation of an order, through
Responsible for performing monthly, quarterly, and annual accounting activities, including bank and credit card reconciliations, financial reporting, and general ledger research. Manage accounts payable, process journal entries for property sales, and handle earnest money deposits and disbursements. Ensure accuracy through account reconciliations and posting of bank deposits. Support process improvements and assist with administrative tasks such as scannin
Responsible for performing monthly, quarterly, and annual accounting activities, including bank and credit card reconciliations, financial reporting, and general ledger research. Manage accounts payable, process journal entries for property sales, and handle earnest money deposits and disbursements. Ensure accuracy through account reconciliations and posting of bank deposits. Support process improvements and assist with administrative tasks such as scannin
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