During Implementation
During the implementation of contracts, FinThrive audits the system repeatedly, and makes every effort to set up contracts accurately so that reimbursements calculate according to the contract language. To assure you that our reimbursement calculations are correct, you can use Contract Manager to spot-check calculations. If there is any doubt about the contract language or billing practices at the facility, we will work with you to resolve the issue.
For more information about this process, refer to The Issue Resolution Process.