Medical Insurance Billing & Cash Posting

AcadiaMesa, AZ
Onsite

About The Position

The Billing and Payment Specialist is responsible for the expedient and accurate billing for treatment services and posting of payments received for a group of facilities. This is an onsite full-time, Mon-Fri opportunity.

Requirements

  • High school diploma or equivalent.
  • 5 years of job-related experience, healthcare experience preferred.
  • Advanced computer skills including Microsoft Office; especially Word, Excel, and PowerPoint.
  • Knowledge of office administration procedures with the ability to operate most standard office equipment.
  • Ability to work professionally with sensitive, proprietary data & information while maintaining confidentiality.
  • Excellent interpersonal skills including the ability to interact effectively and professionally with individuals at all levels; both internal and external.
  • Exercises sound judgment in responding to inquiries; understands when to route inquiries to next level.
  • Self-motivated with strong organizational skills and superior attention to detail.
  • Must be able to manage multiple tasks/projects simultaneously within inflexible time frames. Ability to adapt to frequent priority changes.
  • Capable of working within established policies, procedures and practices prescribed by the organization.
  • English sufficient to provide and receive instructions/directions.

Nice To Haves

  • healthcare experience preferred

Responsibilities

  • Responsible for billing all patient claims in a timely manner.
  • Review claims issues, make corrections as needed, and rebill. Utilize claims clearing house to review and correct claims and to resubmit electronically when available.
  • Responsible for evaluating bill cycles and changing/updating when necessary.
  • Responsible for printing daily billing reports – both electronic and paper claims. Monitor validation percent.
  • Work daily claims rejection lists.
  • Responsible for posting insurance and patient payments, contractuals, and all other adjustments.
  • Review explanation of benefits to ascertain that claim processed and paid correctly. If processed incorrectly provide detail information to collector for follow up.
  • Complete adjustment forms if any adjustments need to be made to an account and attach all supporting documentation.
  • Prorate patient accounts and monitor that balance due is in the correct financial class.
  • Maintain daily cash log noting any variances on a daily basis.
  • Gathers and interprets data from system and understands appropriate course of action to take and initiates time-sensitive and strategic steps resulting in payment.
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