- Pacific Medical Centers (Seattle, WA)
- …bank locked box to patient's Pacific Medical Centers Accounts Receivable. Posts cash , contractual adjustments and denial codes to the properly selected patient ... providing for secondary billing, requesting adjustments or refunds and balancing posting batches. Providence caregivers are not simply valued - they're invaluable.… more
- Port of Seattle (Seattle, WA)
- …key member of the department leadership team, responsible for achieving fiscal integrity, financial transparency, public funds accountability, and mitigating audit ... include managing accounting for North Harbor (Port of Seattle side) transactions and cash flow reporting. **Who you are:** + **Experienced** - You have six (6)… more