This perforated, 3-hole punched workbook reinforces the system for processing money coming in and going out of a healthcare setting. Designed to be used in conjunction with any textbook, it provides real-life practice scenarios that lead the reader through the daily activities of completing forms and recording transactions in a variety of settings for a variety of specialties.Organizes the workbook into 5 sections: Parts 1-3 introduce and describe the forms used for money coming in and going out of a healthcare facility. Part 4 contains actual forms. Part 5 provides the reader with answers for the exercises in Part 1.Introduces the reader to the various forms used in money transactions, including the forms purpose, content, and a Lets Practice section for each. Covers the service slip or superbill, patients ledger, day sheet or record of accounts receivable, deposit slip, record of disbursements or accounts payable, and checks.Includes categories of expenses and lists of bills to be paid sections for each specialty.
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