Billing Indicators
Account Activities
Processes
Processes 2
COB process
100

This billing indicator must be applied to all account being routed to the Denials Team

1005

AR-Revenue Recovery

100

This account activity must be applied to every account you work summarizing the actions you have taken on the account--It is how you get credit for productivity!

248

Add Account Note

100

For account balances $25K and greater, we are to follow-up after this many days

Every 7 days

100

This many days is allowed for a payer to process or claim, requested documentation prior to routing to PSO for a payer delay

60 days

100

If a claim is denied for COB issue for total charges less than $10K, AR will route the account to this department for further review after we have exhausted our work efforts per the COB job aid

Claims Services-COB review needed

200

This Billing Indicator must be applied to remove the account from WQ 14489-Eligibility

2120

Eligibility Issue Review Completed

200

This account activity is used to manually add an account to a WQ

302

Add to WQ/Select the WQ

200

For non-contracted payers, AR will route these admission types to the NSA team for review

Emergent/Urgent

200

In order for an account to qualify for Transplant inventory, this must be verified as "active" in patient station for the DOS billed

Episode/Status

200

If Claim Services returns an account for COB issue as they are unable to resolve, AR will take this next stop to resolve the account.

Move total charges to self-pay and apply a self-pay discount @ 65% with adjustment code 173

300

This Billing Indicator is used to route to cash team to research a missing insurance payment that is $25K or greater

MHD

Missing Insurance Payment $25K or greater

300

This account activity is used when two or more items are needed for upload or mail out. (I/S, MR, and Reconsideration form)

749

Packet needed

300

Medical record requests for account balances with this dollar amount require to have Support attach an itemized statement as well

$50K

300

We allow this many days for a non-contracted payer to process our claim prior to billing the patient if no payment/correspondence has been received

90 days

300

This account activity must be added if the patient has been unresponsive to letters/phone calls to resolve COB issues

406-COB Issue Patient Unresponsive

400

This Billing Indicator is used in WQ 11406-Dual Buckets when no action can be taken to resolve the dual buckets

1051

Dual Liability Bucket No Action can be Taken

400

This account activity is used for missing/Incorrect Charges, Rev Code Discrepancy, CCI Edits, Medically Unlikely Edits (MUE), Charge Discriptions, DOS, CPT/HCPC or Modifiers (any CPT/HCPC NOT listed under "Procedures" in the Coding tab

621

Charge Capture PFS Request

400

For plans that apply a level of care reduction to ER services, we will only send to denials to appeal for these CPT codes

99284 and 99285

400

If plan denies or recoups payment on a claim for coverage termed and total charges are $10K or greater, we must add this BI and route the account to this WQ if EES has not already reviewed for financial aid/other coverage.

BI 1059-EES Post Disch Review Needed

WQ 17258-HB EES Post Disch Review Needed

400

If total charges are $10K or greater and denied for COB issue, AR team will take this action if work efforts have been exhausted per COB job aid

Manually add account to WQ 10937-Management Escalation WQ requesting Analytic Team review with detailed explanation of what actions have been taken on the account

500

When working the Eligibility WQ, these 3 Billing Indicators must be applied if the account was registered under the incorrect plan code

975-Plan Code Error

2107-Coverage Update Needed

2120-Eligibility Issue Review Completed

500

This account activity is used for DX, DRG, DX Related to Hospice Review, Discharge Status, Admission Source Type, IP accounts that need combined per Nurse Audit, any CPT/HCPC listed under "Procedures" in the Coding Tab

1223

Coding Review Needed from PFS

500

When UHC applies PR96 for private room and board, this action is to be taken on the account.

Adjust the PR96 amount to contractual

500

When MR is submitted to the payer and the payer states the MR was not received, this information must be obtained from the call. 

-verify documentation was submitted to the correct address

-Escalate account if documentation submitted certified and delivered to the correct address per USPS

-If not submitted to the correct address, obtain the correct information of where to submit the documentation

500

This document is used to help overturn a COB denial if the patient has one signed on file

Signed COB letter