Submit Service Claims to <<MMIS, State, Other>>
Submitted by admin on Tue, 05/04/2021 - 15:37
Policy:
On a weekly basis, <<Staff Title>> produces a claim file for all payrolls processed in the most recent payroll cycle and any claims that were put on hold from a previous payroll cycle. Claims are produced per the format for electronic submission as specified by State/MMIS Provider.
Each claim is verified for accuracy, completeness and compliance with program rules and regulation prior to submission. Claim file submissions are recorded in a control sheet.
After submitting a claim, a journal entry template is created and a posting made to the General Ledger.
Procedure:
Process will vary based on program rules and F/EA systems.
Internal Controls:
The internal controls used by F/EA to monitor this process establish responsibility, segregate duties, document procedures and ensure independent internal verification.
- System access is restricted to those staff who have direct responsibility for service claim production
- Before completing the current payroll cycle’s billing, values in the billing system are reviewed to ensure that the billing from the last cycle was completed
- Each daily bill file is reconciled to the daily payroll report
- Discrepancies are researched and resolved prior to proceeding
- Adjustments are made using control documents provided by the Payroll Department
- All adjustments are stored for reconciliation purposes
- <<Staff Title>> reconciles supporting documents to ensure billing is submitted appropriately and payments are applied to claims appropriately.
- <<Staff Title>> creates journal entry templates.
- Each journal entry template is used as a control document.
- Each reconciliation document is prenumbered
- <<Staff Title>> signs and dates verifying accuracy
- F/EA Accountant reviews supporting documents and journal entry template for completeness and mathematical accuracy.
- F/EA Accountant signs and dates journal entry template.
- <<Staff Title>> reviews supporting documents and journal entry template for completeness and mathematical accuracy.
- <<Staff Title>> signs and dates journal entry template.
- F/EA Accountant posts journal entries.
- F/EA Accountant reconciles General Ledger to appropriate supporting documents at year-end.
- F/EA Accountant produces reconciliation documents, verifies, signs and dates.
- <<Staff Title>> reviews, verifies, signs and dates reconciliation documents
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