Lead, Cash Operations

Advanced Rx ManagementSunrise, FL
Onsite

About The Position

The Cash Operations Lead will provide day-to-day leadership and oversight of cash posting, payment reconciliation, unapplied cash, payment research, and related Revenue Cycle activities. The Team Lead is responsible for ensuring payments received by AdvancedRx are accurately and timely identified, posted, reconciled, and reflected within the appropriate patient, claim, payer, and client accounts. This position will provide daily leadership to the Cash team, monitor productivity and quality, resolve complex payment issues, identify process gaps, and partner with Revenue Cycle, Finance, Collections, and other departments to ensure the integrity of cash reporting. This candidate must have a strong understanding of healthcare payment posting and reconciliation and must be able to identify discrepancies between payments received remittance information, bank activity, and amounts posted within the Revenue Cycle system.

Requirements

  • Minimum Education: Associates degree or; Bachelors degree preferred
  • Minimum Experience: 3 years of healthcare Revenue Cycle, cash posting, payment posting, reconciliation, or related experience.
  • Strong knowledge of healthcare payment posting.
  • Experience researching EOBs, ERAs, EFTs, checks, and payment discrepancies.
  • Experience reconciling healthcare payments.
  • Understanding of unapplied and unidentified cash.
  • Strong analytical and problem-solving skills.
  • Strong attention to detail.
  • Ability to work with high-volume payment activity.
  • Strong Excel skills.
  • Ability to manage multiple priorities and deadlines.
  • Strong written and verbal communication skills.

Nice To Haves

  • Workers’ Compensation payment experience.
  • Pharmacy Revenue Cycle experience.
  • Personal Injury/PIP experience.
  • Experience with complex payer remittances.
  • Experience managing large volumes of unapplied cash.
  • Experience with ERA/EFT reconciliation.
  • Experience with cash automation or auto-posting.
  • Experience working with Finance or Accounting on reconciliation.
  • Experience developing payment-posting SOPs and controls.
  • Previous Team Lead, Senior Cash Poster, Senior Payment Poster, or similar experience preferred.

Responsibilities

  • Provide day-to-day leadership and direction to the Cash team.
  • Oversee timely and accurate posting of payments received.
  • Ensure payments are applied to the correct patient, claim, payer, client, and account.
  • Monitor daily cash posting volume and completion.
  • Review payment-posting exceptions.
  • Ensure appropriate contractual adjustments, payer adjustments, and other transactions are accurately recorded according to established policies.
  • Review complex or unusual payments requiring additional research.
  • Ensure payment documentation is maintained appropriately.
  • Identify delays or barriers preventing timely posting.
  • Escalate material issues to the Revenue Cycle Manager.
  • Reconcile daily payments received against payments posted.
  • Review bank, EFT, ACH, check, credit card, lockbox, and other applicable payment activity.
  • Compare remittance information to payment transactions.
  • Identify discrepancies between deposits and system posting.
  • Research missing payments.
  • Research duplicate postings.
  • Identify incorrect payment applications.
  • Monitor outstanding reconciliation differences.
  • Ensure reconciliation issues are resolved within established timelines.
  • Escalate material or aging reconciliation differences.
  • Maintain an accurate inventory of unapplied cash.
  • Maintain visibility into unidentified payments.
  • Assign research responsibilities to team members.
  • Monitor aging of unapplied cash.
  • Research missing or incomplete remittance information.
  • Coordinate with payers when additional payment information is required.
  • Work with Collections when payment information must be researched at the claim level.
  • Identify payments posted to incorrect accounts.
  • Resolve unapplied balances within established turnaround times.
  • Escalate high-dollar or aged unapplied cash.
  • Identify recurring causes of unapplied cash and recommend corrective action.
  • Research EOBs, ERAs, EFTs, checks, and other payment documentation.
  • Match remittance information to payments received.
  • Identify missing EOBs or remittance documentation.
  • Research payments covering multiple claims or accounts.
  • Assist staff with complex payment allocation.
  • Identify payer payment patterns creating posting issues.
  • Work with internal departments to obtain missing information.
  • Maintain appropriate documentation supporting payment research and resolution.
  • Provide daily direction, support, and team huddles.
  • Set and monitor productivity, quality, workload, posting volume, and turnaround expectations.
  • Review individual performance and conduct routine quality audits.
  • Provide real-time coaching, recognize strong performance, and identify training needs.
  • Support onboarding and ensure adequate coverage for critical cash functions.
  • Escalate persistent performance concerns and assist with documented improvement plans as needed.
  • Provide Revenue Cycle leadership with consistent visibility into cash operations through daily, weekly, and monthly reporting.
  • Ensure adherence to separation-of-duties, documentation, approval, and reconciliation requirements.
  • Monitor and escalate unusual transactions, duplicate payments, overpayments, and material discrepancies.
  • Support internal and external audits and maintain accurate supporting documentation.
  • Protect confidential financial and patient information in accordance with HIPAA and organizational policies.

Benefits

  • Reasonable accommodation will be provided to qualified individuals with disabilities, as required by applicable law, to enable them to perform the essential functions of the position.
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