Difference between revisions of "Reports"

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* Monitoring your practice AR allows you to verify if your practice is successfully collecting money due.
 
* Monitoring your practice AR allows you to verify if your practice is successfully collecting money due.
An goal for best practice to always work towards achieving zero AR.  This is done by:
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* An goal for best practice to always work towards achieving zero AR.  This is done by:
 
** Collecting money from patients.
 
** Collecting money from patients.
 
** Collecting money from Insurance Companies.
 
** Collecting money from Insurance Companies.
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** Writing Off noncollectable money correctly. (Contractual or Bad Debt).
 
** Writing Off noncollectable money correctly. (Contractual or Bad Debt).
  
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=== Collections ===
  
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==== Collection Manager ====
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* Generates Statements and lists of Patients receiving statements
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* Based on current claim balance, claim filing order and bill code.
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==== Statement History ====
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* Used to review the record of statement generation.
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==== Dunning Report ====
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* The one stop shop report for outstanding receivables.
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* Formatted to provide working lists for billers - including Patient and Insurance contact information.
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* Can generate summaries.
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* Can be filtered by Claim Age, Providers, Locations, Bill Code, Patient Name, Payers, Payer Type and Balance Amount.
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* This report should be reviewed regularly and worked actively.
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=== Daily ===
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==== Daysheet ====
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* Provides Service and Payment information for a 'day' (can be run for date ranges too).
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* Can be printed for insertion into 'Day Packs'
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* Provides totals for reconciliation with deposits,credit card systems. and EoBs.
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* Can additionally provide audit information.
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* Usually run by Entry Date (Service and Payment)
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* Can be filtered by Provider, Location, Facility, Place of Service and User.
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* Can create summary reports including Year and Month to Date.
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==== Reconciliation Daysheet ====
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* Provides Service and Payment information in the order it was entered.
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* Used to reconcile day packs, batch EoB entry, Point of Sale, Superbills.
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* Designed to be Printed, Exported to Excel and worked on-screen with drill down to claims.
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* Shows Pre-payment transfers.
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* Includes Summary of Payment and Adjustment Code usage.
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* Can be filtered by Provider, Location, Facility, User and Check Number.
 +
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==== Superbill Recap ====
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* Lists Superbills that have been linked to claims.
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* Can additionally lists printed Superbills that have not yet been linked to a claim (Outstanding Superbills).
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* Only used with Printed Superbills.
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* Usage ensures claims are entered for all visits in a day.
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==== Claims Filing Status Report ====
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*
 
Appointments
 
Appointments
  

Revision as of 21:19, 5 August 2016

Report Summary

Accounts Receivable (AR)

  • Used to understand currently outstanding money expected to be received on outstanding claims.
  • AR reports are usually inflated due to fee schedules being higher than the amount paid by payers.
  • Four types of AR Report are available:
    • Practice AR - Accounts Receivable for the all claims within the system.
    • AR by Patient - Listing Patients that have money outstanding.
    • AR by Payer - Listing Payers that have money outstanding.
    • AR by Aging (Aged AR) - Listing AR based on how long it has been on file.
  • AR is calculated by subtracting payments and adjustments from total charges.
  • There are two core modes in which the report runs:
    • By Entry Date - the report will collect total charges entered from services with the date range and subtract payments entered withing the date range.
    • By Service Date - the report will collect all payments on charges that have a service data matching the date range.
  • Batch Date mode available (similar to Entry Date using Batch Date instead)
  • Can be filtered by Provider, Location, Factility and Place of Service
  • Data formatted in PDF or Excel.
  • Monitoring your practice AR allows you to verify if your practice is successfully collecting money due.
  • An goal for best practice to always work towards achieving zero AR. This is done by:
    • Collecting money from patients.
    • Collecting money from Insurance Companies.
    • Using Collection Agencies for bad dept.
    • Writing Off noncollectable money correctly. (Contractual or Bad Debt).

Collections

Collection Manager

  • Generates Statements and lists of Patients receiving statements
  • Based on current claim balance, claim filing order and bill code.

Statement History

  • Used to review the record of statement generation.

Dunning Report

  • The one stop shop report for outstanding receivables.
  • Formatted to provide working lists for billers - including Patient and Insurance contact information.
  • Can generate summaries.
  • Can be filtered by Claim Age, Providers, Locations, Bill Code, Patient Name, Payers, Payer Type and Balance Amount.
  • This report should be reviewed regularly and worked actively.

Daily

Daysheet

  • Provides Service and Payment information for a 'day' (can be run for date ranges too).
  • Can be printed for insertion into 'Day Packs'
  • Provides totals for reconciliation with deposits,credit card systems. and EoBs.
  • Can additionally provide audit information.
  • Usually run by Entry Date (Service and Payment)
  • Can be filtered by Provider, Location, Facility, Place of Service and User.
  • Can create summary reports including Year and Month to Date.

Reconciliation Daysheet

  • Provides Service and Payment information in the order it was entered.
  • Used to reconcile day packs, batch EoB entry, Point of Sale, Superbills.
  • Designed to be Printed, Exported to Excel and worked on-screen with drill down to claims.
  • Shows Pre-payment transfers.
  • Includes Summary of Payment and Adjustment Code usage.
  • Can be filtered by Provider, Location, Facility, User and Check Number.

Superbill Recap

  • Lists Superbills that have been linked to claims.
  • Can additionally lists printed Superbills that have not yet been linked to a claim (Outstanding Superbills).
  • Only used with Printed Superbills.
  • Usage ensures claims are entered for all visits in a day.

Claims Filing Status Report

Appointments


Daily Reconciliation'