Medicaid CoordinatorBay Pointe Rehabilitation and Nursing • Virginia Beach, Virginia, United States
Medicaid Coordinator
Bay Pointe Rehabilitation and Nursing
- Virginia Beach, Virginia, United States
- Virginia Beach, Virginia, United States
Über
Summary:
Supervise, coordinate, and perform business office functions under the direction of the Administrator in accordance with sound accounting practices.
Benefits and Perks:
- Health Insurance
- Dental + Vison
- 401k
- Tuition reimbursement through ECPI
- Employee recognition programs
- Daily Pay
Essential Duties & Responsibilities:
- Meet physical and sensory requirements stated below, and be able to work in the described environment.
- Prepare and submit reports on a timely basis as required and directed by the Administrator, the company and governmental agencies.
- Accumulate and maintain, in an organized manner, vital statistics relating to admissions, discharges, deaths, transfers and daily census of facility residents.
- Prepare and submit monthly resident billings for services provided.
- Responsible for monthly Medicaid, Medicare, and other insurance billings along with timely follow-up with intermediaries on delinquent payments in coordination with outside billing company.
- Monitor and manage the accounts receivable collection process in coordination with outside billing company.
- Pursue past due accounts persistently and maintain proper back-up documentation.
- Obtain and submit all required documentation to bill third party payers as per program/company guidelines.
- Maintain financial records including any cash receipts, cash disbursements, accounts receivable, accounts payable, payroll journal, as directed.
- Attend department head meetings, seminars, and workshops, when approved, to assure current knowledge of State and Federal laws and regulations pertaining to bookkeeping functions.
- Responsible for reconciling all facility cash and accounts.
- Verify that resident trust is accurately recorded.
- Maintain an accurate accounting of patient trust funds including monthly reconciliation and quarterly statements to responsible parties. Reconcile petty cash for patient trust fund daily.
- Participate in the resident admission process by providing explanations of the facility's rates, billing cycle and
Sprachkenntnisse
- English
Hinweis für Nutzer
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