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Finance Intern

NetcareInternships

Requirements

  • National diploma in Finance at NQF level 6 or higher Qualification i.e., degree / BTech in finance at NQF level 7.
  • WORK EXPERIENCE
  • Preferred
  • No work experience required as this internship.
  • Computer literacy in MS office.
  • KNOWLEDGE
  • Essential
  • Candidate must display a sound knowledge of finance practices.
  • Preferred
  • Working knowledge of SAP ISH.
  • NON-MANAGERIAL
  • Customer Focus and Service Delivery
  • The capacity to identify and respond to the needs of *internal and external customers.
  • Internal and external customers include patients, doctors, colleagues, suppliers, visitors, vendors, and any other person that requires a relationship
  • Personal Work Ethic
  • Capacity to instil an ethic of quality and consistency in self and others.
  • Building Relationships
  • Capacity to establish constructive and effective relationships.

About This Role

Finance Intern

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Netcare

remote type

Onsite

locations

Netcare Shared Services

time type

Full time

posted on

Posted Today

time left to apply

End Date: April 29, 2026 (3 hours left to apply)

job requisition id

JR106469

We provide meaningful careers that connect people with purpose.

We are united by a common purpose of providing the best and safest care; and by our shared values of Care, Truth, Participation, Compassion and Dignity.

Netcare invites you to be part of our journey.

ROLE SUMMARY

The Finance Intern will be responsible for ensuring the achievement of collection targets essential to the profitability of the Hospitals. The incumbent has an overall responsibility to manage, control and collect all outstanding monies due to the Hospital in terms of his/her responsibility in line with the Netcare strategic themes.

ROLE SUMMARY

The Finance Intern will be responsible for ensuring the achievement of collection targets essential to the profitability of the Hospitals. The incumbent has an overall responsibility to manage, control and collect all outstanding monies due to the Hospital in terms of his/her responsibility in line with the Netcare strategic themes.

KEY WORK OUTPUT AND ACCOUNTABILITIES

Debtors Control function

Manage and attend to Debtors books and not limited to: Medical Aid accounts, Private/ foreign accounts, MVA accounts, Estate late accounts, Arrangements accounts, Handed over accounts, Clearing accounts follow up, Exception accounts follow up and Credit manager report follow up.

Ensure accurate billing by checking MCR's daily.

Manage and attend to all switch application rejections and re-submit when necessary.

Ensure follow up on pending claims not submitted to Medical Aid.

Prepare and submit journals for authorisation.

Ensure timeous processing of authorised journals.

Consult with patients referred by pay point regarding outstanding balances and arrange payment agreements.

Identify long outstanding accounts and contact patient to arrange for settlement.

General management and administration pertaining to outstanding debt as per the Standard Operating Procedure.

Identify possible high-risk accounts to be handed over.

Identify possible bad debt accounts and obtain the necessary approval for processing.

Ensure debtor days are in line with company targets.

Have a clear understanding of PMB conditions and rules.

Daily monitoring of collections and diarise each case.

Print and follow up on unallocated payments.

Manage and attend to all rejections on remittance advices from third parties, i.e. medical schemes, WCA, Insurances etc.

Manage private accounts by printing a daily age analysis report and contact the patient to arrange for full settlement.

Prepare estimates for Private Patients.

Handle queries relating to accounts outstanding.

Ensure formal payment arrangements are in place.

Reconciliation of Remittance advice.

Follow up on payment arrangements.

Follow up on signed Practitioner Risk Forms for payment and ensure necessary actions are taken.

Submit the short payments and over payments report by Medical Aid daily and monthly to supervisor for review.

Daily resolving collection items on your work list.

Identify over payments and forward request for refund-to-refund clerk.

System and Reporting

Transfer unpaid medical scheme balances to patient liable and insert comment.

Generate reports, interpret data and action accordingly.

Printing and mailing of patient statements on a monthly basis

Compliance Management

Compliance to Company Policy & Procedure.

Adherence to the CSA (Controlled self-assessment) audit standards.

Manage compliance to repeat audit findings

Build and maintain stakeholder relationships

Work effectively and co-operatively with others to establish and maintain good working relationships that are mutually beneficial.

Develop collaborative relationships to help accomplish work goals.

Participate in monthly meetings to discuss issues and give feedback.

Teamwork

Actively participate as a member of a team to achieve goals.

Personal and professional development

Assume responsibility for own personal and professional development.

Keep up to date with Netcare’s evolving policies and procedures.

Ready to apply?

Apply directly on Netcare's website.

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