At Author Health, we’re revolutionizing how mental health care is delivered, and we want you to be part of it! Our mission is to bring compassionate, high-quality care to people with serious mental illness, substance use
At iScale Solutions, we build dedicated teams that help businesses streamline operations and deliver exceptional service. As we expand our presence in the healthcare sector, we are building a talent pool for upcoming Durable Medical Equipment
DUTIES AND RESPONSIBILITIES 1. Expense Reimbursement and Liquidation Administration 1.1 Review employee reimbursement and liquidation submissions for completeness and compliance with company policies. 1.2 Verify receipts, supporting documents, approvals, and required attachments. 1.3 Follow up employees
We are the shared services arm of OMRON, supporting our global operations through efficient and reliable service delivery. We are looking for a motivated professional to join our team and work closely with international stakeholders to
Key Responsibilities Lead and manage the daily operations of the Global Payments team. Ensure accurate and timely processing of domestic and international payments. Monitor payment workflows and resolve operational issues and escalations. Oversee payment reconciliations and ensure data integrity across systems.
We are looking for an Operations Support Manager to oversee and optimize the day-to-day operations of our e-wallet, loyalty, and digital financial services platforms. In this role, you will be responsible for ensuring the smooth, accurate,
Roles and Responsibilities: Generate billing invoices Prepare and issue invoices accurately based on established billing schedules and contracts. Verify supporting documents (agreements, purchase orders, service confirmations) before invoicing. Ensure invoices are sent to clients on time
Job Summary: The Shared Service Treasury Accountant is responsible for managing the company’s daily treasury operations, ensuring the accurate recording of bank transactions, timely execution of payments, reconciliation of bank and intercompany accounts, and preparation of cash