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Billing Officer

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  • Preparation of Daily Performance reports and Daily collection reports received from the Unit.

  • Managing cash management entry, and day- end closing.

  • Coordinating with clinic accountant for all entries on daily basis.

  • Manage IFRS 16 Entry Posting.

  • Manage Purchases Invoice booking - Fixed Assets and Purchases Invoice checking and booking.

  • Management of depreciation finalization and passing entry.

  • Checking and posting of Stock Transfer.

  • Entry and Closing Stock matching, Cost of Sales, Clinical Consumables with TB.

  • Checking Inventory expiry and disposal and making entry.

  • Management of Petty Cash Expenses and Cash Balance Closing.

  • Reconcile the Cash book balance with physical balance and reconcile credit card book balance as per bank statement and book corresponding bank charges.

  • Revenue Porting and checking with HIS and Sales Manual entry for corporate client and finalisation.

  • Unfinalised revenue & provision management.

  • Manage Doctors commission & Incentive booking and referral incentive booking if any.

  • Manage all other indirect provision entry and reconciling.

  • Reconciliation and balance confirmation of all Intercompany.

  • Manage Rejection Provision, Volume Discount provision.

  • Check Prepayment Entry with schedule.

  • Monitoring Accounts Receivable for receivable and outstanding.

  • Coordination of Inventory related activities.


  • Preparation of Daily Performance reports and Daily collection reports received from the Unit.

  • Managing cash management entry, and day- end closing.

  • Coordinating with clinic accountant for all entries on daily basis.

  • Manage IFRS 16 Entry Posting.

  • Manage Purchases Invoice booking - Fixed Assets and Purchases Invoice checking and booking.

  • Management of depreciation finalization and passing entry.

  • Checking and posting of Stock Transfer.

  • Entry and Closing Stock matching, Cost of Sales, Clinical Consumables with TB.

  • Checking Inventory expiry and disposal and making entry.

  • Management of Petty Cash Expenses and Cash Balance Closing.

  • Reconcile the Cash book balance with physical balance and reconcile credit card book balance as per bank statement and book corresponding bank charges.

  • Revenue Porting and checking with HIS and Sales Manual entry for corporate client and finalisation.

  • Unfinalised revenue & provision management.

  • Manage Doctors commission & Incentive booking and referral incentive booking if any.

  • Manage all other indirect provision entry and reconciling.

  • Reconciliation and balance confirmation of all Intercompany.

  • Manage Rejection Provision, Volume Discount provision.

  • Check Prepayment Entry with schedule.

  • Monitoring Accounts Receivable for receivable and outstanding.

  • Coordination of Inventory related activities.


Bachelor

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