Revenue Cycle Specialist II

Southeast HealthDothan, AL
Onsite

About The Position

Performs daily activities involved in the reimbursement process, including claims filing/follow-up, entry of payments/adjustments, and follow-up on non-payment or payments below contracted fee schedule amount. Identifies any repetitive errors, either system or manual, takes corrective action and documents them. Performs all tasks in a timely manner to ensure consistency in Accounts Receivables (A/R) totals and maintain a minimum of days in A/R. Uses internal and external computer systems and payer portals to work traditional Medicare and Medicare Advantage/Replacement inventory to full resolution.

Requirements

  • Minimum Education Required: High school diploma or equivalent
  • Minimum Experience Required: Working knowledge of computers
  • Previous work in a business office, registration or clinical setting
  • Required Skills/Abilities: Use of a standard computer keyboard and ten (10)-key calculator
  • Effective written, verbal and interpersonal communication skills
  • Ability to interact with customers in both hospital and clinic environments.

Nice To Haves

  • American Academy of Professional Coders (AAPC) Coding Certification (CPC)
  • Minimum Experience Preferred: One (1) year of revenue cycle experience
  • Working knowledge of CPT and ICD 10 coding systems

Responsibilities

  • Works as part of a multi-disciplinary team to provide answers to inquiries and questions.
  • Troubleshoot problems and provide information.
  • Handle intervention or referrals with a professional and respectful customer service focus telephonically and/or in person.
  • Provides a variety of support services in connection to the day-to-day operations in a health care environment.
  • Maintains working knowledge of regulatory guidelines for billing.
  • Ability to verify and load insurance coverages correctly for accurate billing.
  • Provides claim submission for services provided at SEH.
  • Work and resolve claim edits and errors daily.
  • Provides follow up on claims which did not process correctly.
  • Provides follow up with insurance companies or individuals to obtain accurate reimbursement.
  • Understands the use of and navigation of Medicare’s DDE system and other governmental and commercial payer websites for claim status and corrections.
  • Accurately determines Part A and Part B Medicare coverages and billing requirements.
  • Reviews correspondence daily for appropriate follow up.
  • Able to read and understand explanation of benefit files.
  • Works closely with clinical team for accurate charges and modifiers.
  • Verifies third party payer coverage.
  • Coordinates authorizations when appropriate.
  • Works closely with coding team for accurate submission on claim.
  • Process and follow up on payer denials, consulting with various entities for completion.
  • Understands hospice billing requirements and regulations.
  • Research and resolve client billing problems or issues.
  • Provide communication on the methods and principles used for billing to the customers and resolve concerns.
  • Study contractual terms and conditions of payment to ensure payments are made consistent with terms.
  • Conduct work functions to assist with late charge processes.
  • Works closely with third party collection vendors for accurate payment records.
  • Assist patients and their families with applying for financial assistance.
  • Establish payroll deduction transactions.
  • Make daily deposits to the bank.
  • Ensure change fill requests are complete for department’s daily function.
  • Work with patients to develop self-pay arrangements and payment plans when applicable.
  • Post payments for both insurance and individuals.
  • Review accounts and initiate refunds when applicable.
  • Communicate self-pay balances for upcoming services and collect balances due.
  • Work with accounting department for accurate financial documentation.
  • Edit account for correct coverage documentation.
  • Apply contractual adjustments in accordance with contracts.
  • Print, scan and index correspondence to the appropriate account.
  • Works closely with electronic payment process vendor for accurate posting and adjustments electronically.
  • Oversee the electronic flow of the account through the billing process to include bad debt.
  • Performs all other duties as assigned.

Benefits

  • Forbes 500 best mid-sized employers in America
© 2026 Teal Labs, Inc
Privacy PolicyTerms of Service