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Accounting Specialist

Open 41d

Summary

The Accounting Specialist handles accounts payable/receivable, payroll, bank reconciliation, and other financial tasks under the Director of Finance at Humboldt Del Norte Independent Practice Association, Eureka, CA.

Purpose: The Accounting Specialist assists the Director of Finance in the areas of eligibility, enrollment, accounts payable/receivable, payroll, and other duties as appropriate.

Responsibilities:

Accounting Specialist will perform the following within the time frames indicated below

  • Accounts receivable and payable under the direction of the Director of Finance
    • Sending monthly invoices to IPA and NCHIIN Customers
    • Following up on any unpaid balances due at least monthly
    • Posting payments received in Sage at least weekly
    • Maintain timely processing of Accounts Payable
    • Review open accounts payable invoices for payment and submitting for signature and approval.
  • Processing Payroll biweekly and managing the following:
    • Payroll tax-related liabilities
    • Workers’ compensation and other payroll-related liabilities, including but not limited to health plan premiums and retirement contributions
    • Wage allocation to appropriate projects and departments
  • Bank Reconciliation, including:
    • Daily reconciling all electronic deposits and deductions daily for the IPA General Account
    • Record monthly TCD interest accruals.
    • Reconcile all bank, money market, and TCD accounts monthly with a special focus on claim account checks
  • Processing Blue Shield Reimbursable payments and follow up on unreimbursed claims at least once monthly
  • Process payments from stop loss; posting in Business Works and sending payments to appropriate health plan
  • Priority Care Center Claims and Accounts receivables:
    • Submit Claims weekly in eCW
    • Work closely with PCC clinic manager /other staff person and customer service representative to follow up on outstanding PCC claims.
    • Post PCC payments daily (web payments, ERA, insurance and patient’s payments) in eCW.
    • Monthly reconciliation of PCC HMO capitation-compare list to eCW and update as necessary
    • Receive calls from patients with questions regarding their statement, balance, etc.
    • Run eCW accounts receivable reports and work accounts at least monthly.

Other Projects and Duties – As Assigned

See also

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