Banking

Articles

Reconciling claim payments
Each day, details of claims payments made to the specialists are sent to Zedmed and reconciled against the outstanding invoices.  Ramsay reconciliation workflow: Go to Zedmed's Management tab. Select Claims . Select the...
Processing rejected claims
Claims can be rejected for a full invoice or an item within an invoice, and each is handled differently Rejected claims for an item  in an invoice If an invoice item is rejected when performing a reconciliation, you will...
Daily banking
It's important to make sure your banking balances before closing the batch so you know you have an accurate financial record.  Step 1  – Print and close the banking session Go to Reception > Banking > Close Banking sessi...