Description:
- Reports on Health Benefits claims access and expenditures, integrating data from a variety of sources to provide a complete picture of Health Benefits activities and performance, highlighting trends and identifying variances beyond expected thresholds
- Reconciles claims and service invoices, identifies recoveries and variances, reports on related activities and expenditures, and identify, describe, and report on areas of concern between FNHA and Government partners
- Develops and maintains forecasting methodologies and tools to track and monitor trends and flag variances for Health Benefits programs services, provides reporting to senior management, as required
- Liaises with Finance and Health Benefit Operations teams to reconcile financial variances in Health Benefits reporting between sources by collecting and analyzing account information, including identification and monitoring of accruals, audit recoveries and other sources of discrepancy
- Develops financial and client impact analyses resulting from proposed policy changes or updates to Health Benefits programs
- Conducts analyses and provides summary reports for community delivered Health Benefits services and financial performance, including reconciliation of community-based funding agreements
- Works with the Data, Analytics, and Reporting Team to improve and enhance existing reports to illustrate the current state of Health Benefits and highlight patterns and trends
- Analyzes Health Benefits data to provide meaningful insights, promote understanding of the Health Benefits programs, and improve business performance
A full job description is available upon request.
Qualifications
- University degree in Business Administration, Accounting, Commerce, plus 3 to 5 years of recent, relevant experience, or an acceptable combination of education, training and experience
- Experience with transactional-based reporting, analysis, and reconciliation, preferably in the health sector
- Experience working with Microsoft Office productivity software
- Experience with reporting, analysis, and visualization tools including Excel, SQL, and Tableau (or Power BI).
- Experience reconciling transactional data from different sources and with financial summaries
- Experience monitoring service contracts, including the validation and reconciliation of invoices