Date Created: April 19, 2024 Last Updated: May 7, 2024
Overview: Cornell Healthprovides a variety of health services to registered students on campus. Bursar billing is fed from Point N Click to the bursar system for billing tostudents for copay on health services if the student opts for this payment method. Otherwise, the student can pay with cash, check or credit card. In addition, Cornell Health bills a health fee to students through the bursar as part of each semester’s tuition billing.All are charged HF if in either the Ithaca area OR NYC area.Students and staff can purchase OTC, prescriptions, or other medical supplies from the pharmacy and pay with cash, check or credit card (or bursar billed for students). Cornell Health bills insurance carriers on behalf of the students, in some cases based on pre-negotiated rates with the provider. Cornell Health reconciles accounts receivable and revenue from each system to the general ledger to ensure revenue is recorded accurately in the financial statements for the month/semester that the income is earned. |
Criticality: High | Frequency: Daily | Turnaround: Other |
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Student: The student receives services at Cornell Health and pays a co-pay. All registered students are billed a health fee. Billing Staff: The billing staff are responsible for processing transactions in Point N Click and ensuring they use the correct billing codes and that transactions feed over to the bursar system without error/failure. Pharmacy Staff: The pharmacy staff are responsible for processing transactions in QS1and ensuring they use the correct billing codes and that transactions feed over to the bursar system without error/failure. Unit Finance Staff: Reconcile accounts receivable for QS1 and for Point N Click systems. Responsible for the reconciliation of the student revenue from billing system all the way through to the general ledger. Shared Services Center (SSC): Issues identified must be brought to the attention of the unit so they can be addressed appropriately and corrected. |
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QS1 and Point n Click QS1 Patient picks up Rx/OTC Is patient bursar billable? Yes – charges sent to bursar No – payment collected at time of pick up PNC Continued All the stops should then go to payment/collection process
Revenue Recognition CH runs end of month reports from PNC/QS1 – files sent to SSC to upload or record in the KFS GL as income as transactions flow through a clearing account Reconciliation A/R Reconciliation
Payment reports are created in PNC/QS1
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DEA Registration Certificate or NYS pharmacy license expired or invalid
1. DEA Certificates and NYS license are valid for 3 years.
2. The pharmacist tracks expiration dates with notifications 60 days prior to expiration.
3. Renewals are emailed at 60 days and 30 days.
4. Vendors require updated licenses and send reminders as well.
5. Inhouse compliance staff also track and monitor.
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Revenue Recognition and Receivables Tracking Process Flow Chart
Revenue Recognition Point of Sale Template
Revenue Recognition Student Charges