Overview
- Conduct initial review and verification of the charge. (If charge verified as clean), submit claim to the appropriate payers- electronically for those who accept, on paper for those who do not accept electronic claim submissions.
- Appealed claims submitted with accompanying information.
- Place date stamp deadline on claim for time tracking purposes. Claims status tracked online and in real-time for continued reimbursement management.
- If claim not valid, offer coding recommendations to practice to correct claim errors before submission.
- Follow up on claim if payer fails to adjudicate within the specified time frame.
- (at the same time) Research multiple data sources regarding denied claims. Update practice’s internal database to alert staff to changes in payer requirements.
- (Once payment is received into your financial account) Match payment to the charge and post it into your account.
- Post unapplied credits and take backs.
- Allocate payments, denials and denial codes, and determine appeals on payment that vary from negotiated contract to actual insurance payment.
- Claims submission dates, re-filing, and follow-up billing and collection notes recorded and monitored by PedsOne billing staff.
- Generate weekly patient bills and monthly statements
- Make past due reminder phone calls.
- Answer patient billing related questions.
- Create and manage reasonable but firm payment plans.
- Collaborate with practice staff to update patient demographic or coordination of benefits information.
- Make recommendations regarding transfers to collection agency or bad debt write-offs.
- Conduct enrollment and credentialing for your new providers and confirm the accuracy of your NPI, CAQH and tax id numbers.
- Create reports to analyze and manage revenue cycle. Review with practice and strategize on improvement initiatives.
- Utilize fee schedule management tools provide a detailed picture of the accounts receivable.
- Make recommendations regarding fee schedule and payer contract negotiations.
- Advice and training for staff on front-end billing protocols (check-in/out, patient recalls, financial policies, time of service payments, etc.)
“At the end of the day, I’m really here for my clients. I absolutely love the work I do for them. Having a great team of coworkers and a generous boss who really wants his employees to succeed and be happy is just a bonus. ”
Stephanie H.