RCM - Financial Teller

Johns Hopkins MedicineBaltimore, MD
2d$17 - $28

About The Position

Position Summary: Reporting to the Revenue Cycle Manager and/or Supervisor; the Financial Teller is responsible for the daily depository functions of SAP cash Journal functions as well as all transaction details associated with departmental processing. Critical to this position is the ability to solve problems by analyzing information and evaluating results in order to resolve internal/external customer issues. The incumbent is responsible for maintaining inventory/reconciliation control, reimbursements, and patient and depository collections in accordance with established principles, standards, and policies. The Revenue Cycle Financial Teller works as a team member and positively accepts change throughout the Health System while establishing relationships at all facilities and be familiar with each institution’s computer environment and payer contracts as needed and maintains a professional, courteous, and cooperative demeanor in all communications and interactions with all individuals and organizations with whom they come into contact while acting in the capacity of a Health System employee.

Requirements

  • High school diploma or GED
  • Knowledge of accounting and audit principles.
  • Requires knowledge of banking, cash handling control, inventory control, and reconciliation.
  • Requires some knowledge of standard PC applications and spreadsheets.
  • Ability to create and maintain various PC based reports and spreadsheets.
  • Analytical ability to accurately complete decentralized batch and departmental settlements for reconciliation to final bank deposits and departmental budgets.
  • Ability to keep detailed records, maintain inventory, and security controls.
  • Ability to count monies and balance daily work batches against bank deposits.
  • Ability to perform multiple tasks and meet extreme daily deadlines on a daily basis.
  • Excellent interpersonal and verbal communication skills sufficient to interact with patients and their families, guests, and all levels of professional and administrative staff for up to 95% of a workday.
  • Understanding of security logs and reports, transportation/parking monthly reconciliation.
  • Ability to maintain inventory and sale controls for telecommunications.
  • Ability to formulate and/or disseminate detailed calculations.
  • 1-2 years progressive experience in banking, auditing, or bookkeeping, with emphasis on cash handling, reconciliation, and settlements required.

Nice To Haves

  • Knowledge of the SAP system a plus.

Responsibilities

  • daily depository functions of SAP cash Journal functions
  • transaction details associated with departmental processing
  • solve problems by analyzing information and evaluating results in order to resolve internal/external customer issues
  • maintaining inventory/reconciliation control
  • reimbursements, and patient and depository collections in accordance with established principles, standards, and policies
  • works as a team member and positively accepts change throughout the Health System
  • establishing relationships at all facilities and be familiar with each institution’s computer environment and payer contracts as needed
  • maintains a professional, courteous, and cooperative demeanor in all communications and interactions with all individuals and organizations with whom they come into contact while acting in the capacity of a Health System employee
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