Insurance Cash Specialist - 6 month contract

Maryland  ‐ Onsite
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Description

Healthcare Cash Specialist

Description:

  • Performs all activities related to the posting of non-dues revenue received at the Regional office and all medical facilities to the subsidiary Accounts Receivable system.
  • Balances and reconciles all funds processed to ensure (SOX) Sarbanes-Oxley compliance.

  • Processes 835 electronic remittances; researches and resolves errors to ensure accurate posting of insurance and guarantor payments.

  • Performs manual data entry of non-dues revenue into the patient accounting system, including line item payment posting.

  • Posts third party payments, contractual adjustments, deductibles, co-pays, take backs and denials, in accordance with the explanation of benefits received.

  • Balances and reconciles cash totals of each manual batch, 835 remittances or other electronic file uploaded into the system using available resources and reconciliation tools: splitter Router reports, bank portal for lock box image and/or treasury tools, in order to reconcile monthly with General Accounting Department totals.

  • Researches guarantor and insurance credit balances by reviewing insurance plan explanation of benefits, determining insurance plan primacy using coordination of benefit rules, reviewing member's medical chart and eligible benefits.

  • Resolves member and insurance credits balances within required SOX guidelines by debit adjusting, refunding or distributing credit balance payments to outstanding balances.

  • Performs root cause analysis and works with appropriate resources to reduce errors and volume of insurance and guarantor credits.

  • Maintains records of unidentified payments, actions taken and resolution; researches and processes unidentified checks/funds.

  • Maintains audit files and daily reconciliation spreadsheet related to cash posting for SOX control purposes

  • Researches, deposits and records monies payable to our Health Plan of the Mid-Atlantic States, MAPMG, our Hospitals and Claims Recovery into dedicated database using correct GL string.

  • Prepares journal entries using the One Link system and submits entries to the General Accounting Department.

  • Submits reclassification journal entries as needed to balance the General Ledger.

  • Performs other related duties as directed.


Requirements:

  • High School Diploma or Equivalent REQUIRED, Associate's degree preferred

  • Four years of electronic and manual cash posting experience working with health insurance, workers compensation and/or third party payers.

  • Two years of experience in standard cash handling and reconciliation procedures

  • Proficient in Microsoft Office Suite and Excel required.

  • Understanding of medical billing practices required, including knowledge of ICD-9, CPT and HCPCS codes.

  • Familiarity using and creating Business Objects reporting preferred.

  • Experience working in large company within the health care industry using multiple and complex systems.

  • Prior accounting background a plus.

Start date
June 2017
Duration
6 months
From
Enclipse Corp.
Published at
14.06.2017
Project ID:
1361213
Contract type
Freelance
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