Quick Reference — To correct ADJUST claims
Worklist: MGRHOLD
Issues: An adjustment is necessary on this claim.
Next Steps: Make a full balance adjustment, partial adjustment or transfer the balance to patient responsibility.
- Perform full or partial adjustments
- Transfer the balance to patient responsibility
Note: If after acting on this error, the claim remains in a hold status (HOLD or MGRHOLD), the claim requires additional review or work.
- Display the Claim Action page: Select a claim from the Workflow Dashboard, Claim Worklist, or click the Claim Action Page link on the Claim Edit page.
- Review the claim information.
- Actions — If the claim requires a balance adjustment, select Adjust Balance.
- Applies to — Select the payer to which the adjustment applies.
- Charges — Select the charges that need to be adjusted.
- Reason — Select the reason for the adjustment.
Note: Each adjustment reason maps to a kick reason, so that reports are unaffected. - Custom transaction code (Optional) — Enter a custom transaction code or enter a period to access the lookup tool.
- Claim note — Enter a claim note explaining why the charges are to be adjusted off the claim.
- Click Submit. This action closes the claim.
- Display the Claim Action page: Select a claim from the Workflow Dashboard, Claim Worklist, or click the Claim Action Page link on the Claim Edit page.
- Review the claim information.
- Actions — Select Transfer Balance.
- Select the charges that you want to adjust.
- Transfer to — Select Patient or Next Payer.
Note: Both options map to kick reasons, so reporting is unaffected. - Claim note — Enter a claim note to indicate why the balance is being transferred.
- Click Submit. Claims with a balance transferred to Patient are kicked with PTRESP; claims with a balance transferred to Next Payer are kicked with NEXTPAYOR.
- Display the Claim Edit page.
Full balance adjustment
- Applies To — Select the correct insurance type.
- Charges — Select all the charges that are to be adjusted.
- Kick Reason — Enter GLOBAL, CONTRACT, ADMIN, or BADDEBT.
- Click Save.
Partial balance adjustment
- Click the Select Post Payments/Adjustments link.
- Click Create New Batch.
- Enter today's date.
- Set the deposit amount to $0.00 and select the appropriate bank account or UNKNOWN.
- Select Assign Payment Batch.
- Click Continue.
- Enter the appropriate partial adjustments.
- Click Save.
- On the Claim Edit page, scroll down to the Claim Notes section at the bottom of the page.
- Review the claim notes.
- Action Taken/Note Source — Select Generic Note/From Other Source.
- Kick Reason — Select PTRESP.
- Claim Note — Enter a note to indicate why the balance is being transferred to the patient.
- Click Save. A statement will be sent to the patient.