JLN Process - Payment to providers

Process Group

Accounting

Objective

Pay approved/recoup claims or reimbursements per visit/service, capitation payment) in a timely manner to designated, plan approved providers

Input

  • Financial transactions from accounts payable and receivable GL (approved claim, adjusted claim, void claim)

  • Capitation list

Output

  • Payment voucher (i.e., check, cash, money order, electronic fund transfer)

  • Feed into data repository

  • Update provider accumulators

Measurable Outcomes

Sources

 

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