Validating and Posting Payments

Once batch is created and claims are added to the EOBs, you can post the payments.

 

To post the payments:

1.From the left menu items, select Billing > Batch Payments.
2.Search the desired batch.
3.Click Post. The batch details then appear below in the Claims List section.
4.Click the Payer Name to expand the list of claims.
5.Enter the Adjustment and Payment amount.
6.Change the Adjustment and Balance Reason codes, if necessary.
7.Select the check boxes in the Write-off column to write-off the balance for one or more claims.
8.To validate the payment details, click Apply/Validate.
9.To post payments and save the details, click Save.
10.To print the batch details, click Print. The details are then exported to the PDF format.

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