Nxtgenz

Payment Posting

We ensure accurate and timely posting of payments, carefully matching transactions to maintain clear financial records and support effective revenue tracking.

Payment Posting Made Simple & Accurate

•  Collect electronic and paper payments from insurers and patients

•  Verify payment details for accuracy

•  Cross-check payments against patient accounts and invoices

•  Identify adjustments, write-offs, or partial payments

•  Apply payments to correct patient accounts and procedures

•  Ensure correct allocation of adjustments and denials

•  Confirm all payments are accounted for in the billing system

•  Match payments with deposits and insurance remittances

•  Provide concise summaries of payments posted, outstanding balances, and discrepancies

•  Deliver actionable insights to your billing team

•  Communicate with your billing and clinical teams about discrepancies or unclear payments

•  Collaborate to resolve issues promptly and maintain accuracy

Bottom Section / Callout:

Our payment posting process ensures accuracy, transparency, and seamless integration — so your practice maintains a healthy cash flow and focuses on patient care.

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