|
Your
practice’s
financial
strength
is
directly
related to
timely
billing
and
accurate
reimbursement.
RevenueMD
provides
comprehensive
billing
and
accounts
receivable
management
services
designed
to provide
your
practice
with
proper
reimbursement.
RevenueMD's
approach
is to
provide
billing
and
accounts
receivable
management
services
from
smaller,
more
manageable
billing
offices,
as opposed
to large
processing
centers.
This
approach
results in
improved
collections,
which in
turn
enhances
your
personal
income.
Electronic
Claims and
Remittance
-
Clearinghouse
processing
and
routing
-
Pre-remittance
proprietary
edits
-
Clearinghouse
edits
-
New
payor
set-up
and
format
support
All claims
will go
via
electronic
submission,
unless
they are
forced to
paper by
the payor
and/or
claim
specific
submission
requirements.
Claims are
filed
daily.
Automated
front-end
validation
tools
enable
RevenueMD
to
identify
and
extract
claims
which are
likely to
be denied
by the
payor.
Identifying
rejects
prior to
submission
to the
payor
enables
claim
corrections
and
resubmission
within
days
resulting
in reduced
payor
denials
and faster
reimbursement.
RevenueMD
employs
its own
software
edits to
reduce
clearinghouse
costs,
assure
claims are
presented
in proper
formats,
and enable
the
fastest
payment
possible.
Our
clients
benefit
daily from
the
intelligence
we’ve
gained
through
our years
of
experience.
As you do
business
with new
payors, we
ensure
that all
new
formats
and filing
rules are
set up
properly
to make
the
transition
fast and
easy.
Payment
Posting
All
payment
correspondence,
Explanation
of
Benefits
and checks
are imaged
from the
payor and
scanned or
received
through
the bank
and loaded
at our
corporate
operations
center
using
lockbox
technology.
RevenueMD
works with
our
clients to
establish
dedicated
lockboxes
that
facilitate
fast and
efficient
payment
posting.
As part of
that
service we
provide
regular
reconciliation
of
payments
posted in
the
Practice
Management
System.
Unlike
many
organizations,
RevenueMD
posts
payments
on a line
item
basis,
including
$0
payments.
This level
of detail
allows us
the
ability to
more
easily
identify
the
collection
opportunities
that
maximize
payments
and
provide
complete
reconciliation
reporting.
Every EOB
has a
separate
and
distinct
digital
image
indexed to
the proper
patient
account
and charge
which
amplifies
the
visibility
of the
data.
All
payments
are
reconciled
and posted
to the A/R
system on
a daily
basis from
imaged
data. This
includes
tracking
all
payment
information
received
from the
client/bank
that is
then
tracked
all the
way
through
the
Practice
Management
System in
order to
post,
reconcile
and audit
back to
the credit
detail.
Secondary
Filing
Secondary
claims on
paper are
auto-matched
using
appropriate
criteria
in order
to marry
documentation
needed for
payment
such as
the
primary
EOB and
are mailed
to the
secondary
payor.
Patient
billing
-
Print
and
mail
-
Invoices
and
statements
Patient
billing
services
exists to
help our
clients’
patients
manage
their
statements.
Frequently
additional
information
is
required
from the
patient in
order to
properly
process
insurance
billing.
Patient
Services
helps
gather
that
information
from
patients
and puts
it in the
hands of
our A/R
Resolution
team to
get the
statements
paid by
the
insurance
company.
The
Patient
Services
team also
works with
self-pay
patients
and on
pass-through
balances
to process
payments,
establish
payment
plans and
help
patients
understand
activity
in their
accounts.
Our
patient
billing
services
are based
on our
advanced
approach
to
managing
pass-through
revenue.
Pass-through
revenue
consists
of dollars
billed to
the
insurance
company
that
should
have been
collected
from the
patient.
Pass-through
reporting
identifies
self-pay
accounts
that are
30 days
from
date-of-service.
Our
self-pay
revenue
cycle is
an
automated,
scheduled,
and
comprehensive
process
consisting
of patient
statements,
letters
and
telephone
contact.
Supplemented
with
client
reporting,
progressive
levels of
communication
are used
to
intensify
qualified
patient
contact as
balances
age.
Driven by
highly
efficient
process
automation,
these
tools
serve to
optimize
and
accelerate
patient
payments
while
minimizing
the cost
of patient
contact.
Patient
statements
are laser
printed,
folded,
presorted,
stuffed
into
window
envelopes
with a
return
envelop,
and mailed
to
patients.
Our
statements
are
customizable
for each
of our
clients
and can
include
their
company
logo.
Collection
letters
are
printed
and folded
in a
presorted
window
envelope.
This
process is
flexible,
allowing
individual
physicians
or
practices
to
determine
which
accounts
to refer
for
collection.
At the
discretion
of the
client,
uncollected
charges
are
transferred
to a
collection
agency.
A/R
Management
Our
philosophy
on A/R is
one touch
resolution.
We review,
correct
and
resolve
all
demographics
and charge
issues in
one sweep.
To be
successful,
we go back
to the
logical
basics of
using
automation
and
innovation
paired
with basic
coding,
payor and
compliance
rules.
RevenueMD
enables
medical
groups to
identify
specific
problems
and trends
in denied
claims,
and then
correct
the issues
causing
the
problems
on many
accounts
at once
versus
going into
each
individual
account to
correct,
thus
making A/R
scalable.
|