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. |
