Alameda Health System
AHD Business Office/Accounting Specialist
Alameda Health System, Alameda, California, United States, 94501
Summary
The AHD Business Office/Accounting Specialist provides support to Alameda Hospital at Waters Edge business office and accounting departments; performs billing functions for all residents at the skilled nursing facility. Performs related duties as required. Duties & Essential Job Functions
Responsible for Census tracking, Medicare A and B billing and Medi-Cal billing. Starts and controls PASS and PASSARR forms. Prepares UB 40's. Controls Medicare certification and recertification. Produces Medicare Credit Balance Report quarterly. Prepares MC-171 admission and discharge notifications. Posts ancillaries and cash. Produces Private Pay statements. Verifies Medi-Cal eligibility monthly and is responsible for TAR control for Medi-Cal. Works with payers for billing and collections. Compares common working files monthly. Completed patient trust bank reconciliation and Patient trust check book. Reconciles petty cash bank and check book. Produces petty cash box receipts and replenishes as needed. Responsible for W-9's and deposits. Receives, sorts and distributes incoming mail – addressing mail that needs to be forwarded as needed. Work on the OSHPD report annually Manage patient business files. Minimum Qualifications
Education:
High School Diploma or Equivalent. Experience:
Two years experience in a business office and/or accounting capacity. Experience:
Recent Medicare and Medical insurance billing.
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The AHD Business Office/Accounting Specialist provides support to Alameda Hospital at Waters Edge business office and accounting departments; performs billing functions for all residents at the skilled nursing facility. Performs related duties as required. Duties & Essential Job Functions
Responsible for Census tracking, Medicare A and B billing and Medi-Cal billing. Starts and controls PASS and PASSARR forms. Prepares UB 40's. Controls Medicare certification and recertification. Produces Medicare Credit Balance Report quarterly. Prepares MC-171 admission and discharge notifications. Posts ancillaries and cash. Produces Private Pay statements. Verifies Medi-Cal eligibility monthly and is responsible for TAR control for Medi-Cal. Works with payers for billing and collections. Compares common working files monthly. Completed patient trust bank reconciliation and Patient trust check book. Reconciles petty cash bank and check book. Produces petty cash box receipts and replenishes as needed. Responsible for W-9's and deposits. Receives, sorts and distributes incoming mail – addressing mail that needs to be forwarded as needed. Work on the OSHPD report annually Manage patient business files. Minimum Qualifications
Education:
High School Diploma or Equivalent. Experience:
Two years experience in a business office and/or accounting capacity. Experience:
Recent Medicare and Medical insurance billing.
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