Select Account Worklist Fields to Export
Use this procedure to select fields from the account worklist to export.
Note: This procedure explains the process of selecting fields for an Account Worklist. For more information about selecting fields for a Master Account or Payor Worklist, refer to Select Worklist Fields to Export (Master and Payor).

- Access the Select Worklist Fields to Export page:
- Go To > Account Research > from Worklist to open the Account Worklist Criteria page.
- Select View Summary Results from the task drop down list.
- Specify and select the appropriate criteria.
- Click Display Accounts to open the Worklist Summary page.
- Click a link in the Account Totals column to open the Account Worklist page.
- Click Export and the Account Worklist Export Options page opens.
- Select Custom Selection from the Export Fields list and click Custom to open the Select Worklist Fields to Export page.
- Select the check boxes for the fields you want to include in the export.
- Optionally, you can perform one of the following actions:
- Click Save Settings to save the custom fields for future use.
- Click Select All to select every field on the list.
- Click Deselect All to deselect any fields selected.
- Click Submit Fields. The Account Worklist Export Options page opens. For more information, refer to Specify Account Worklist Export Options.

The following table describes each of the fields on the Select Worklist Fields to Export page. The fields are listed in alphabetical order.
Note: Some selections, such as Payor Name, might not populate upon export, depending on your facility setup.
Field | Description |
Account Balance | Billed Charges, minus total payments, minus total adjustments |
Actual Discount | Total insurance adjustments for all accounts; Explanation of Benefits (EOB) write-off |
Admit Date | Date of admission for the account |
Displays the 3 digit code displayed on a UB that provides specific information about the intent of the claim. The first digit describes the type of facility, the second digit classifies the type of care being billed, and the third digit indicates the sequence of the bill for a specific episode of care. For example: 117 stands for an acute care facility - inpatient - replacement of a prior claim. To view bill type digit information, see the Bill Type help topic. | |
Billed Charges | The total charges incurred for the claim or set of claims that have been repriced |
Certificate ID | Certification SSN-HIC of the primary payor |
Claim Number | Claim number associated with the account. This selection may create duplicate rows for patient numbers that have multiple claims associated with that patient number. |
Comment | Comments concerning the account, contract, issue, invoice, quote or negotiation. |
Contract Profile | The name of the contract profile associated with the account. |
Contract Opportunity | The cap amount where reimbursement was capped based on the Stop Cap section in the contract. The Opportunity Summary section only displays if there is a contract or line item cap amount associated with the account. |
Days Outstanding | Number of days past the overdue date. The difference between subdate and today’s date. |
Days to Initial Payment | From the most recent UB, the difference between earliest submit date and first paid date |
Discount Variance | Expected Discount minus the Actual Discount |
Discharge Status | Specifies where the patient is physically located at the time of discharge or where the patient is located at the end of the billing cycle. When selecting the search criteria for your worklist, you can enter multiple discharge status codes separating each code with a comma. |
DRG/APC/CMG | Diagnosis Related Group |
DRG Severity Code | The Severity of Illness code value for the DRG |
Expected Discount | Billed Charges minus non-covered charges, minus Total Expected Reimbursement |
Expected Insurance Payment | The calculated reimbursement based on the predefined contract terms and conditions and service type definitions in the system and the repriced claims data, minus patient liability |
Expected PCR% | Expected Payment-to-Charge ratio (Expected Payment divided by Billed Charges, times 100) |
Financial Class | Financial class code |
First Claim Date | Date of the first claim |
First Payment Date | Date of the first payment |
Flagged | Specifies flagged or unflagged accounts |
Insurance Payment | The amount paid by the insurance company |
Last Claim Date | Date of the last claim |
Last Payment Date | Date of the last payment from the insurance company |
Late Charge Alternate Calculation | The amount of the expected reimbursement if you resubmit the claim and include the late charges associated with the claim on the resubmission. This column only displays if you selected Late Charge Alt Calc in the Additional Amount field on the Account Research from Worklist page. |
Late Charge Alternate Variance | The variance between the original total expected payments and the late charge alternate calculation. This column only displays if you selected Late Charge Alt Calc in the Additional Amount field on the Account Research from Worklist page. |
Late Payment Penalty | The dollar amount of the late payment penalties calculated for the account. The rules defining late payment penalties are defined in the contract profile. |
Latest FinThrive Processing Date | Date range for the latest FinThrive processing date for the selected claims |
Length of Stay | Length of stay, in days |
Line Item Opportunity | The cap amount where reimbursement was capped based on the line item. The Opportunity Summary section only displays if there is a contract or line item cap amount associated with the account. |
FinThrive Comment | FinThrive comment |
FinThrive Posted By | FinThrive posted by |
FinThrive Posted On | FinThrive posted on |
Medicare Outlier Date | The date on which Medicare Inpatient claims reach the outlier threshold, based on detail charges |
Message Code | Exception message code (a link to the message code description) |
No. | Sequential reference number of the line item. An asterisk (*) appears for an account to which an override was applied and the reprice was completed |
No. of Accounts | Number of accounts associated with a master account. |
No. of Payors | Number of payors associated with an account. This option only displays if Coordination of Benefits (COB) is enabled for your facility. For more information about COB, refer to Coordination of Benefits. |
Non-covered Charges | The amount of non-covered charges (not disallowed charges) |
Other Adjustments | Other, non-insurance adjustments |
Patient Account Number | Patient account number (for UB claims) or insured ID (for CMS-1500 claims) |
Patient Liability | The amount the patient is responsible for paying on the account |
Patient Name | Patient name |
Patient Payment | Portion paid by the patient |
Patient Type | Patient type assigned to the account: Inpatient/Outpatient |
Payment Variance | Specifies a payment variance in relationship to (greater than, less than or equal to) a dollar amount or a percentage |
Payor Class | Indicates whether this account is for a Primary, Secondary, or Tertiary payor. This column only displays if Coordination of Benefits (COB) is enabled for your facility. For more information, refer to Coordination of Benefits. |
Payor Code | Payor code associated with the product |
Payor Name | Name of the payor |
Plan Name | Name of the coverage plan(s) included on claims in the patient list |
Posted By | Name of the person that posted the claim |
Posted On | Date that the claim was posted |
Profitability | The profitability amount associated with this account. The profitability is calculated as the Expected Payment minus Cost.
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Reprice Type | The reason the claim was repriced separately from other claims for this account. This column also helps to distinguish between multiple claims on an account. For more information about reprice types, refer to Multiple Reimbursement Calculations > Reprice Types. |
Service From Date | First date of service rendered to the patient |
Service To Date | Date range for claim Service To dates, in the format M/D/YY, MM/DD/YYYY or YYYYMMDD |
Service Type | Service type code |
Stop Cap | Indicates whether your results were limited to accounts identified as meeting the stop cap threshold. Stop cap is a clause in a contract/proposal that adjusts the reimbursement of claims with low charges and high reimbursement. Stop cap accounts are indicated by a (c) in the Service type column of the results. |
Stop Loss | Indicates whether your results were limited to accounts identified as meeting the stop loss threshold. Stop loss is a clause in the contract/profile that adjusts the reimbursement of claims with unusually high charges or lengths of stay. The contract/proposal sets a condition based on a threshold of charges or days. Stop loss accounts are indicated by a (s) in the Service type column of the results. |
Total Cost | The total cost amount associated with this account.
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Total Expected Payment | The calculated reimbursement based on the predefined contract terms and conditions and service type definitions in the system and the repriced claims data |
Total Payment | The total insurance and patient payments posted to the accounts, as defined in the data |
User Code | User-defined code; four digit maximum |