What is created from cash management for organizations using Enterprise Payment Posting?

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In the context of cash management for organizations using Enterprise Payment Posting, the correct answer is that a payment posting batch is created. This process involves aggregating all incoming payments and systematically applying them to the respective patient accounts or invoices. By organizing these payments into a batch, organizations can efficiently manage and reconcile their cash flow, ensuring that each payment is accurately recorded against the appropriate charges.

The creation of a payment posting batch is essential for streamlining the billing cycle, enabling faster updates to patient accounts and providing a clear overview of the organization's revenue from payments. Additionally, this helps in identifying any discrepancies or issues with payments that may need to be addressed.

Understanding the other options clarifies why they do not fit in this context. An invoice batch would relate to the creation and management of invoices for billing but does not directly pertain to the management of incoming payments. Claim submission batches focus on the grouping of claims sent to payers for reimbursement rather than the actual payment posting process. Lastly, a receivables batch generally pertains to the management of accounts receivable records, tracking what is owed to the organization rather than detailing how payments are processed.

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