| Claims Control
Once
billing information is received by MultiMed the data is entered
into our computer system. Bills are then generated within
three business days. We process all claims internally by our
employees at our corporate headquarters in Baldwinsville,
New York. MultiMed does not subcontract any part of the billing
process.
Patient Friendly Billing
All
billing is then sent to patients or the appropriate insurance
companies. MultiMed assists patients by completing claims
forms required by their insurance company and then submitting
all bills directly to their insurance company.
Patient Follow Up
There
are a lot of reasons MultiMed will follow up with patients.
Sometimes insurance information is needed, or some of the
information given is incorrect or outdated. We will procure
whatever information is needed to process the claims fully.
Balance Billing
We
follow all accounts individually and can bill a patient's
supplemental insurance company or the patient directly for
any outstanding balance due.
Direct Fund Deposit and Accounting
System
As payments are received on your behalf,
they can be deposited directly into your bank account on a
daily or weekly basis. Our unique system of accounting and
posting payments allows each deposit to be maintained separately.
So instead of simply reporting deposits on a grand total basis,
your individual deposit records will correspond completely
with bank statements. MultiMed can produce reporting to provide
the detail for deposits on any interval such as daily, weekly,
monthly, annually—whatever works for you.
Your Insurance Assurance
An
important part of our job is to follow up on pending claims
to ensure timely receipt of reimbursement payments. In addition,
MultiMed files appeals and submits protest documentation to
insurance companies that have denied claims. MultiMed also
acquires and maintains provider numbers issued by Medicare,
Medicaid and major insurance companies.

|