Reconciling Bank Accounts for Non-Profit companies.
Making appropriate changes to client trust accounts on Excel spreadsheets.
Opening and distributing mail
Posted and balanced all incoming revenue from Medicare, Medicaid and Commercial Insurance EOB's, ERN's and private patient payments to appropriate accounts
Prepared and sent monthly patient statements
Scanned and filed all paperwork into computer system
Answered phone calls on a multi-line telephone system
Helped walk-in customers find appropriate equipment usually prescribed by a doctor
Opened and distributed all incoming mail
Prepared Cash deposits and made daily deposits to the company bank account
Posted and balanced all incoming revenue from Medicare, Medicaid, Commercial Insurance and patients payments to appropriate accounts
Created and recorded all incoming revenue on a Microsoft Excel spreadsheet, on a daily, weekly and monthly basis, for review by our corporate office.
Filed all paperwork in appropriate patient files
Answered all incoming calls on a multi-line telephone system
Companies Worked For:
Job Titles Held:
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