1. Analyze monthly net patient service revenue, perform contractual allowance calculations, and prepare monthly revenue net down journal entries.
2. Perform revenue analysis and provide explanations for monthly and year-to-date budget-to-actual variances.
3. Assist with maintaining and updating contractual allowance models and revenue reserve methodologies on monthly basis.
4. Collaborate with Revenue Cycle and Finance teams to investigate reimbursement and payment issues.
5. Reconcile general ledger accounts, including patient accounts receivable reserves, contractual allowances, and other revenue-related accounts.
6. Prepare monthly financial reports, schedules, and supporting workpapers for management review.
7. Maintain monthly reconciliations between the EPIC accounts receivable subledger and the General Ledger, investigate and resolve variances.
8. Assist in the preparation of annual audit schedules and respond to auditor requests.
9. Prepare and coordinate Medicare and Medicaid cost report supporting schedules.
10. Assist with the preparation and review of regulatory reports, including HCAI reports and other reimbursement filings.
11. Support reimbursement audits, desk reviews, and governmental agency inquiries.