Executive in Medical Activities Posting Payments
3 - 7 Years
Full Time
|
Chennai, India
Job Description :
Executive in Medical Activities Posting Payments
Job Description
The primary "Financial Reconciliation Engine, Payment Accuracy Specialist, Remittance Posting Anchor & Revenue Integrity Guardian" for our healthcare RCM and medical billing operations is the Payment Posting Executive in Medical Billing Revenue Cycle Management, Payment Reconciliation, EOB/ERA Posting, ERA Exception Management & RCM Analytics Specialist. Your main responsibility is to correctly enter payments, adjustments, co-insurance, deductibles, contractual write-offs and denials from health insurance payers and patients into billing systems, while RCM Managers, Billing Directors, Financial Controllers and Practice Managers set up high-level operational policies, fee schedules, bank reconciliation procedures and financial performance frameworks.
Responsibilities
Electronic Remittance Advice (ERA) and Electronic Funds Transfer (EFT) Posting: Import, examine, and handle automated ERA files from insurance payer portals and clearinghouses; confirm electronic payments with bank deposit notifications and resolve ERA posting exceptions.
Explanation of Benefits (EOB) and Patient Payment Posting: Enter 100% accurate data into Practice Management (PM) software by manually posting paper checks, credit card payments, lockbox deposits, patient co-pays, deductibles, and co-insurance.
Contractual Adjustment & Write-Off Verification: In accordance with payer-specific contracts and billing procedures, correctly apply contractual allowances, fee schedule adjustments, write-offs, non-covered costs, and line-item payment distributions.
Denial Tagging & Secondary Claim Escalation: Use the proper CARC and RARC tags to identify, document, and forward claim rejections, partial payments, and zero-pay remittances to the A/R Caller and Denial Management teams for prompt follow-up.
Batch Reconciliation & Zero Balancing: To guarantee there are no financial disparities, perform daily financial balancing by comparing posted batch totals to real bank deposits, lockbox statements, and clearinghouse summary reports.
Skills:
Deep practical understanding of medical billing operations, EOB/ERA structures, EFT reconciliation, lockbox procedures, CARC/RARC rejection reason codes, and patient responsibility computations is necessary for US healthcare revenue cycle management (RCM) and remittance mastery.
Financial correctness & Numerical Precision: Exceptional speed and 100% correctness in batch balancing, contractual write-off computations, line-item payment distribution, and numerical data entry.
Medical Billing Software & Clearinghouse Proficiency: Practical expertise using clearinghouse payment portals and practice management systems.
Accounting Reconciliation & Audit Discipline: Excellent analytical skills to identify payment discrepancies, settle unapplied credit balances, balance bank deposits, and keep transparent audit trails.
We invite you to apply and explore this exciting opportunity!
Warm Regards,
HR - Maria
88708 33430
infohrmaria04@gmail.com
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Vacancies : 6
Posted On : 1 days ago
About Company :
GS Infotech has established itself as a true independent service provider in the field of placements. We are an certified company known for our highly reliable and effective services. A service company is only as strong as the trust of its candidates and the quality of its reputation, and we have earned vast repute in our industry.
Overview :