32 Medical Account jobs in Kenya
Remote Medical Billing Specialist
Posted 1 day ago
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Responsibilities:
- Review patient medical records for accurate coding.
- Assign appropriate ICD-10, CPT, and HCPCS codes to diagnoses and procedures.
- Prepare and submit medical claims to insurance companies.
- Follow up on outstanding claims and resolve billing rejections or denials.
- Post payments from insurance companies and patients.
- Verify patient insurance eligibility and benefits.
- Communicate with insurance adjusters and patients regarding billing inquiries.
- Maintain accurate patient financial records and accounts.
- Ensure compliance with all relevant healthcare billing regulations.
- High school diploma or equivalent; Associate's or Bachelor's degree in healthcare administration or a related field is preferred.
- Certification in Medical Billing and Coding (e.g., CPC, CMRS) is highly desirable.
- Minimum of 3 years of experience in medical billing and coding.
- Proficiency with medical billing software and EHR systems.
- In-depth knowledge of medical terminology, anatomy, and physiology.
- Strong understanding of insurance billing processes and regulations.
- Excellent analytical and problem-solving skills.
- Exceptional organizational and time management abilities for remote work.
- Effective communication skills for interacting with providers and payers.
Director of Financial Risk Management
Posted today
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Senior Quantitative Analyst, Financial Risk Management
Posted today
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Key responsibilities include developing pricing models for derivatives and complex financial instruments, performing risk analysis (market risk, credit risk, operational risk), and contributing to the development of trading algorithms. You will also be involved in backtesting strategies, validating model assumptions, and documenting model methodologies thoroughly. Collaboration with traders, portfolio managers, and risk officers in a virtual environment is a key aspect of this role. Strong communication skills are essential to explain complex quantitative concepts and model results to stakeholders with varying levels of technical expertise. Proficiency in programming languages like Python, R, C++, or MATLAB is required, along with experience in financial libraries and databases.
We are looking for a highly motivated individual with exceptional quantitative aptitude, critical thinking skills, and a passion for financial markets. The ideal candidate will possess a Master's or Ph.D. in a quantitative field such as Financial Engineering, Statistics, Mathematics, Physics, or Computer Science, with at least 5 years of relevant experience in quantitative finance, risk management, or trading. A solid understanding of financial regulations and market structures is also important. This role is entirely remote, offering significant flexibility and the opportunity to work with a global team. Your ability to work independently, manage multiple priorities, and deliver high-quality results in a remote setting is paramount. Join our innovative financial firm and contribute your quantitative prowess to shaping financial strategies worldwide.
Responsibilities:
- Develop and implement quantitative financial models.
- Perform risk analysis and management.
- Design and backtest trading strategies.
- Price complex financial derivatives.
- Analyze market data and identify trends.
- Collaborate with financial professionals remotely.
- Ensure model accuracy and robustness.
- Document model methodologies and results.
- Master's/Ph.D. in a quantitative field (Finance, Statistics, Math).
- Minimum of 5 years of experience in quantitative finance.
- Proficiency in Python, R, C++, or MATLAB.
- Strong knowledge of financial markets and instruments.
- Experience with risk management methodologies.
- Excellent analytical and problem-solving skills.
- Ability to thrive in a remote work environment.
Head of Financial Risk Management - Remote
Posted today
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Senior Quantitative Analyst - Financial Risk Management
Posted today
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Job Description
Key Responsibilities:
- Develop, validate, and implement sophisticated quantitative models for financial risk management (credit, market, operational).
- Perform in-depth data analysis and statistical modeling using large financial datasets.
- Design and backtest trading strategies and hedging methodologies.
- Assess and quantify financial risks associated with various financial instruments and portfolios.
- Collaborate with business units to understand their analytical needs and provide quantitative solutions.
- Ensure models are compliant with regulatory requirements (e.g., Basel Accords, IFRS 9).
- Develop and maintain model documentation and testing procedures.
- Contribute to the development of risk analytics platforms and reporting tools.
- Present complex quantitative findings and recommendations to senior management and stakeholders.
- Mentor junior quantitative analysts and contribute to team knowledge development.
- Master's or Ph.D. in Mathematics, Statistics, Finance, Economics, Physics, or a related quantitative field.
- Minimum of 7 years of experience in quantitative analysis, risk management, or a related financial modeling role.
- Strong programming skills in Python, R, C++, or similar languages.
- Expertise in statistical modeling, time series analysis, econometrics, and machine learning techniques.
- Solid understanding of financial markets, instruments, and risk management principles.
- Experience with financial databases (e.g., Bloomberg, Refinitiv) and data manipulation tools.
- Excellent analytical, problem-solving, and critical thinking abilities.
- Strong written and verbal communication skills, with the ability to convey complex concepts clearly.
- Ability to work independently and manage multiple projects in a remote setting.
- Knowledge of regulatory frameworks relevant to financial institutions is highly desirable.
Senior Banking Analyst - Financial Risk Management
Posted today
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Key Responsibilities:
- Analyze financial data to identify and assess credit, market, operational, and liquidity risks.
- Develop and implement financial risk models and methodologies.
- Monitor risk exposures and ensure compliance with regulatory requirements (e.g., Basel III).
- Prepare comprehensive risk reports and presentations for senior management and regulators.
- Conduct stress testing and scenario analysis to evaluate the bank's resilience.
- Develop and recommend risk mitigation strategies and controls.
- Stay abreast of financial market trends, economic conditions, and regulatory changes.
- Collaborate with various departments to integrate risk management practices.
- Maintain and update risk databases and systems.
- Provide training and guidance to junior analysts on risk management principles.
- Master's degree in Finance, Economics, Statistics, or a related quantitative field.
- Minimum of 5 years of experience in banking, financial analysis, or risk management.
- Strong understanding of financial markets, banking operations, and regulatory frameworks.
- Proven experience with risk modeling techniques and statistical software (e.g., R, Python, SAS).
- Excellent analytical, problem-solving, and quantitative skills.
- Strong report writing and presentation skills.
- Ability to work independently and manage multiple priorities in a remote environment.
- Relevant certifications such as FRM or CFA are a strong advantage.
Senior Financial Analyst - Risk Management
Posted today
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The ideal candidate will possess a strong understanding of financial markets, banking operations, and risk management principles. Proficiency in financial modeling, data analysis tools (e.g., Excel, SQL, Python), and financial reporting software is essential. You will be responsible for preparing comprehensive risk reports, presenting findings to senior management, and recommending strategies to minimize exposure. This role requires exceptional analytical, problem-solving, and critical thinking skills. The ability to work independently and manage deadlines effectively in a remote environment is paramount. Excellent communication and presentation skills are necessary to convey complex financial information clearly and concisely. We are looking for a proactive and diligent professional committed to maintaining the financial health and stability of the institution. Join our esteemed team and contribute your expertise to safeguarding our financial future.
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Senior Financial Analyst - Risk Management
Posted today
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Senior Financial Analyst - Risk Management
Posted today
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Job Description
Responsibilities:
- Develop and implement financial risk management strategies.
- Conduct comprehensive analysis of market, credit, operational, and liquidity risks.
- Create and maintain sophisticated financial models for risk assessment and forecasting.
- Ensure compliance with banking regulations and internal policies.
- Prepare detailed risk reports and present findings to senior management.
- Collaborate with various departments to integrate risk management practices.
- Monitor economic trends and assess their potential impact on financial risks.
- Identify and recommend mitigation strategies for identified risks.
- Contribute to the development of stress testing and scenario analysis.
- Stay updated on the latest financial regulations and industry best practices.
Principal Financial Analyst - Risk Management
Posted today
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