Healthcare Credit Balance Review and Resolution Services
Resolve credit balances within 30 days with accurate reconciliation, payment recovery and timely patient refunds that keep your revenue cycle clean and compliant.
Our Credit Balance Reconciliation Process
Systematic Monthly Identification
We run monthly credit balance reports and categorize by source insurance overpayment, patient overpayment, contractual credit, refund pending etc.
Root-Cause Analysis
We don't just process refunds. We fix the underlying cause. We Investigate and coordinate with payer for Fee schedule change or Duplicate payment. Fix the underlying posting process.
Measurable Resolution Tracking
We track credit balances identified, resolved, and refunded. Show you exactly what was recovered.
Our Credit Balance Review Process
Our Monthly Credit Balance Reconciliation Process
A disciplined 5-step monthly cadence that identifies overpayments early, enforces root-cause correction, and ensures 100% audit readiness.
Audit-Ready Credit Resolution
Preserving compliance & provider cash flow
- Systematic monthly identification across all payers & patients
- Precise overpayment vs contractual adjustment categorization
- Root-cause prevention so credits never re-accumulate
- Documented audit trail with complete resolution timelines
Credit Balance Report Generation
Monthly report identifies all credit balances:
- Patient/payer name and account
- Amount and date created
- Source (payment, adjustment, reversal)
- Age (0-30 days, 31-60, 61-90, 90+)
Categorization
Each credit is categorized:
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Insurance overpayment: Payer paid more than billed
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Patient overpayment: Patient paid more than owed
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Adjustment credit: Contractual adjustment created credit
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Duplicate/error: Processing error created credit
Root-Cause Investigation
We investigate why each credit balance occurred:
- Review original claim and payment records
- Identify process gap that allowed credit to accumulate
- Document finding and recommendation
Resolution Execution
Based on category, we resolve:
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Insurance overpayment: Contact payer. Request credit application to future claims or refund per payer preference.
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Patient overpayment: Process refund check or provide credit option to patient.
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Adjustment credit: Correct original posting to reflect adjustment applied.
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Duplicate/error: Reverse duplicate, correct original posting.
Resolution Tracking
All resolutions tracked with completion dates.