This position is responsible for processing and safeguarding patient cash flow from point of receipt through final posting and reconciliation in the billing system. Will interact daily with patient billing representatives to ensure all established cash controls are adhered to. Supports others with additional financial needs required within the department. Essential Duties and Responsibilities Accurately post payments (insurance and patient) from EOBs, EFTs, lockbox files, and manual checks into the billing system. Investigate and resolve unapplied and misapplied payments. Collaborate with billing and customer service teams to ensure resolution of discrepancies and proper account follow- up. Assist with month- end and year- end close activities related to cash posting. Perform other duties as required by supervisor/ manager.
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Job Type
Full-time
Career Level
Entry Level
Education Level
High school or GED