Table of Contents Introduction .......................................................................................................................... 1 General Explanation of Remittance Advice ......................................................................... 1 Organization of Content in This Guide ................................................................................ 2 Sample Remittance Advice – Banner ................................................................................... 3 Field Descriptions – Banner ................................................................................................. 4 Sample Remittance Advice – Long-Term Care.................................................................... 5 Paid Claims ...................................................................................................................... 5 Pended Claims ................................................................................................................. 6 Denied Claims.................................................................................................................. 7 Suspended Claims............................................................................................................ 8 Adjusted Claims............................................................................................................... 9 Field Descriptions – Long-Term Care.................................................................................. 10 Sample Remittance Advice – Financial Transactions .......................................................... 14 Field Descriptions – Financial Transactions......................................................................... 15 Sample Remittance Advice – Summary Advice................................................................... 18 Field Descriptions – Summary Advice................................................................................. 19 Sample Remittance Advice – EOB Code Description.......................................................... 22 Field Descriptions – EOB Code Description........................................................................ 23 Introduction The Commonwealth of Massachusetts uses the MassHealth claims payment system to process claims on behalf of the Department of Transitional Assistance (DTA) for payment of residential care services provided to residents receiving DTA assistance. This guide describes in detail the remittance advice that the MassHealth payment system issues in response to claims submitted on UB-04 claim forms or their electronic equivalents. For information about billing electronically, see the 837I Companion Guide for residential care homes. For instructions on submitting paper claims, see the Residential Care Home Billing Guide for the UB-04 paper claim form. General Explanation of Remittance Advice For each pay cycle (“run”), the MassHealth payment system issues a remittance advice to affected residential care homes. The remittance advice explains the status of claims that were processed. It lists paid, denied, and suspended claims that were processed on that run. The remittance advice sorts claims in the following order: 1. claim type; 2. claim status (paid, pended, denied, suspended, and adjustments); and 3. internal control number (ICN). If the residential care home has not elected to have payments transferred directly into a bank account through electronic funds transfer (EFT), a check for the total amount of paid claims represented on the remittance advice will be mailed separately. The MassHealth payment system uses the first page of the remittance advice to convey important messages to facilities. These messages may contain billing and payment information, as well as other topics. These updates should be communicated to all applicable staff. Remittance advice messages may apply to all entities receiving the remittance advice or to only certain entities. These messages are also posted on the MassHealth Web site at www.mass.gov/masshealth. Click on MassHealth Regulations and Other Publications, then on Provider Library, then on Remittance Advice Message Text. This guide contains the following information about the remittance advice: • a sample banner of the remittance advice; • a description of each field and the corresponding type of information found on the remittance advice; • a description of the information on the remittance advice relating to the status of each claim; • a description of the information on the remittance advice relating to the different kinds of claimsprocessing requests, including requests for payment, adjustments, voids, and returned monies; and • samples of remittance advices. Organization of Content in This Guide Samples of the remittance advice are provided for each claim status in the following order: • paid claims; • pended claims; • denied claims; • suspended claims; and • adjusted claims. Each sample is followed by a field descriptions table. The field descriptions table contains the field name, its description, and the character length of the field. Fields are alphabetically listed in the table for easy reference. The following topics are also described in this guide: • financial transactions; • summary advice; and • explanation of benefits (EOB) code description. Sample Remittance Advice – Banner A sample banner of the remittance advice is shown below. The banner is used to report the status of all claims processed by the MassHealth claims payment system for a specific claim type. The banner may include a message. REPORT: CRA-BANN-R COMMONWEALTH OF MASSACHUSETTS RA DATE: MM/DD/YYYY MEDICAID MANAGEMENT INFORMATION SYSTEM PAGE: 9999 of 9999 PROVIDER REMITTANCE ADVICE RUN: XXXXXX PROVIDER BANNER MESSAGES PAYEE NUMBER XXXXXXXXX X NPI: XXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXX, XX XXXXX-XXXX SUBJECT: XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX Field Descriptions – Banner Field Description Length Address Pay to mailing address of the payee 120 NPI If the residential care home does not have a national provider identifier (NPI), this field will be blank. 10 Page Current page and total number of pages within the residential care home’s remittance advice 8 Payee Number The residential care home’s 10-character MassHealth claims payment system identification number/service location code consisting of nine numeric digits and one alpha character Note: The space between the nine-digit numeric identifier and the alphabetic service location code in the sample is not counted in the field size. 10 RA Date Date payment was issued, usually the Tuesday after the cycle 8 Report Internal report identifier 8 Run System-generated cycle reference number 6 Subject Banner heading with text message following it 4000 Sample Remittance Advice – Long-Term Care Paid Claims Residential care home claims are reported on the Long-Term Care remittance advice. The remittance advice lists all claims that have been paid during the paycycle. In addition, for claims that include multiple detail lines, both paid and denied detail lines will appear in this section. A denied detail that is part of a paid claim will list the appropriate explanations of why the detail was denied. REPORT: CRA-LTPD-R COMMONWEALTH OF MASSACHUSETTS RA DATE: MM/DD/YYYY MEDICAID MANAGEMENT INFORMATION SYSTEM PAGE: 9999 of 9999 PROVIDER REMITTANCE ADVICE RUN: XXXXXX LONG TERM CARE CLAIMS PAID PAYEE NUMBER XXXXXXXXX X NPI: XXXXXXXXXX SERVICE DATES MBR ADMIT PAT LIAB PAT LIAB OTH INS --ICN-- PATIENT NO. FROM THRU LVL DAYS DATE BILLED AMT ALLOWED AMT AMT (CLM) AMT (APPLD) AMT PAID AMT RRYYJJJBBBSSS XXXXXXXXXXXX MMDDYY MMDDYY XXX 999 MMDDYY 9,999,999.99 9,999,999.99 999,999.99 999,999.99 9,999,999.99 9,999,999.99 MEMBER NAME: XXXXXXXXXXXXXXXXXXXXXXXXXXXXX MEMBER ID: XXXXXXXXXXXX OTH INS CD: 99999 99999 99999 PAS: XXXXXXXXXX DIAG: XXXXXXX HEADER EOBS: 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 REV CD UNITS BILLED AMT ALWD AMT DETAIL EOBS 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 RRYYJJJBBBSSS XXXXXXXXXXXX MMDDYY MMDDYY XXX 999 MMDDYY 9,999,999.99 9,999,999.99 999,999.99 999,999.99 9,999,999.99 9,999,999.99 MEMBER NAME: XXXXXXXXXXXXXXXXXXXXXXXXXXXXX MEMBER ID: XXXXXXXXXXXX OTH INS CD: 99999 99999 99999 PAS: XXXXXXXXXX DIAG: XXXXXXX HEADER EOBS: 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 REV CD UNITS BILLED AMT ALWD AMT DETAIL EOBS 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 RRYYJJJBBBSSS XXXXXXXXXXXX MMDDYY MMDDYY XXX 999 MMDDYY 9,999,999.99 9,999,999.99 999,999.99 999,999.99 9,999,999.99 9,999,999.99 MEMBER NAME: XXXXXXXXXXXXXXXXXXXXXXXXXXXXX MEMBER ID: XXXXXXXXXXXX OTH INS CD: 99999 99999 99999 PAS: XXXXXXXXXX DIAG: XXXXXXX HEADER EOBS: 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 REV CD UNITS BILLED AMT ALWD AMT DETAIL EOBS 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 TOTAL LONG TERM CARE CLAIMS PAID: 999,999,999.99 99,999,999.99 999,999,999.99 999,999,999.99 99,999,999.99 999,999,999.99 TOTAL NO. PAID: 999,999 Sample Remittance Advice – Long-Term Care (cont.) Pended Claims For pended claims, the remittance advice lists all claims that are pended, along with EOB codes that explain any discrepancies between the billed and paid amounts. REPORT: CRA-LTEN-R COMMONWEALTH OF MASSACHUSETTS RA DATE: MM/DD/YYYY MEDICAID MANAGEMENT INFORMATION SYSTEM PAGE: 9999 of 9999 PROVIDER REMITTANCE ADVICE RUN: XXXXXX LONG TERM CARE CLAIMS PENDED PAYEE NUMBER XXXXXXXXX X NPI: XXXXXXXXXX SERVICE DATES MBR ADMIT PAT LIAB PAT LIAB OTH INS --ICN-- PATIENT NO. FROM THRU LVL DAYS DATE BILLED AMT ALLOWED AMT AMT (CLM) AMT (APPLD) AMT PAID AMT RRYYJJJBBBSSS XXXXXXXXXX MMDDYY MMDDYY XXX 999 MMDDYY 9,999,999.99 9,999,999.99 999,999.99 999,999.99 9,999,999.99 99,999,999.99 MEMBER NAME: XXXXXXXXXXXXXXXXXXXXXXXXXXXXX MEMBER ID: XXXXXXXXXXXX OTH INS CD: 99999 99999 99999 PAS: XXXXXXXXXX DIAG: XXXXXXX HEADER EOBS: 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 REV CD UNITS BILLED AMT ALLOWED AMT DETAIL EOBS 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 RRYYJJJBBBSSS XXXXXXXXXXXX MMDDYY MMDDYY XXX 999 MMDDYY 9,999,999.99 9,999,999.99 999,999.99 999,999.99 9,999,999.99 9,999,999.99 MEMBER NAME: XXXXXXXXXXXXXXXXXXXXXXXXXXXXX MEMBER ID: XXXXXXXXXXXX OTH INS CD: 99999 99999 99999 PAS: XXXXXXXXXX DIAG: XXXXXXX HEADER EOBS: 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 REV CD UNITS BILLED AMT ALLOWED AMT DETAIL EOBS 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 RRYYJJJBBBSSS XXXXXXXXXXXX MMDDYY MMDDYY XXX 999 MMDDYY 9,999,999.99 9,999,999.99 999,999.99 999,999.99 9,999,999.99 MEMBER NAME: XXXXXXXXXXXXXXXXXXXXXXXXXXXXX MEMBER ID: XXXXXXXXXXXX OTH INS CD: 99999 99999 99999 PAS: XXXXXXXXXX DIAG: XXXXXXX HEADER EOBS: 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 REV CD UNITS BILLED AMT ALLOWED AMT DETAIL EOBS 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 TOTAL LONG TERM CARE CLAIMS PENDED 999,999,999.99 99,999,999.99 999,999,999.99 999,999,999.99 99,999,999.99 999,999,999.99 TOTAL NO. PENDED: 999,999 Sample Remittance Advice – Long-Term Care (cont.) Denied Claims For denied claims, the remittance advice lists all claims that were denied, along with EOB codes that explain why the claims were denied. REPORT: CRA-LTDN-R COMMONWEALTH OF MASSACHUSETTS RA DATE: MM/DD/YYYY MEDICAID MANAGEMENT INFORMATION SYSTEM PAGE: 9999 of 9999 PROVIDER REMITTANCE ADVICE RUN: XXXXXX LONG TERM CARE DENIED PAYEE NUMBER XXXXXXXXX X NPI: XXXXXXXXXX SERVICE DATES MBR ADMIT PAT LIAB PAT LIAB OTH INS --ICN-- PATIENT NO. FROM THRU LVL DAYS DATE BILLED AMT ALLOWED AMT AMT (CLM) AMT (APPLD) AMT RRYYJJJBBBSSS XXXXXXXXXXXX MMDDYY MMDDYY XXX 999 MMDDYY 9,999,999.99 9,999,999.99 999,999.99 999,999.99 9,999,999.99 MEMBER NAME: XXXXXXXXXXXXXXXXXXXXXXXXXXXXX MEMBER ID: XXXXXXXXXXXX OTH INS CD: 99999 99999 99999 PAS: XXXXXXXXXX DIAG: XXXXXXX HEADER EOBS: 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 REV CD UNITS BILLED AMT ALWD AMT DETAIL EOBS 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 RRYYJJJBBBSSS XXXXXXXXXXXX MMDDYY MMDDYY XXX 999 MMDDYY 9,999,999.99 9,999,999.99 999,999.99 999,999.99 9,999,999.99 MEMBER NAME: XXXXXXXXXXXXXXXXXXXXXXXXXXXXX MEMBER ID: XXXXXXXXXXXX OTH INS CD: 99999 99999 99999 PAS: XXXXXXXXXX DIAG: XXXXXXX HEADER EOBS: 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 REV CD UNITS BILLED AMT ALWD AMT DETAIL EOBS 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 RRYYJJJBBBSSS XXXXXXXXXXXX MMDDYY MMDDYY XXX 999 MMDDYY 9,999,999.99 9,999,999.99 999,999.99 999,999.99 9,999,999.99 MEMBER NAME: XXXXXXXXXXXXXXXXXXXXXXXXXXXXX MEMBER ID: XXXXXXXXXXXX OTH INS CD: 99999 99999 99999 PAS: XXXXXXXXXX DIAG: XXXXXXX HEADER EOBS: 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 REV CD UNITS BILLED AMT ALWD AMT DETAIL EOBS 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 TOTAL LONG TERM CARE CLAIMS DENIED: 999,999,999.99 99,999,999.99 999,999,999.99 999,999,999.99 99,999,999.99 TOTAL NO. DENIED: 999,999 Sample Remittance Advice – Long-Term Care (cont.) Suspended Claims For suspended claims, the remittance advice lists all claims that are suspended, along with EOB codes that explain why the claims were suspended. Suspended claims appear on these remittance advices one time when they are initially in the suspended status. They reappear each time the claim is reworked. This is triggered by the update in the claim's location code. REPORT: CRA-LTSU-R COMMONWEALTH OF MASSACHUSETTS RA DATE: MM/DD/YYYY MEDICAID MANAGEMENT INFORMATION SYSTEM PAGE: 9999 of 9999 PROVIDER REMITTANCE ADVICE RUN: XXXXXX LONG TERM CARE CLAIMS SUSPENDED PAYEE NUMBER XXXXXXXXX X NPI: XXXXXXXXXX SERVICE DATES MBR ADMIT PAT LIAB PAT LIAB OTH INS --ICN-- PATIENT NO. FROM THRU LVL DAYS DATE BILLED AMT ALLOWED AMT AMT (CLM) AMT (APPLD) AMT RRYYJJJBBBSSS XXXXXXXXXXXX MMDDYY MMDDYY XXX 999 MMDDYY 9,999,999.99 9,999,999.99 999,999.99 999,999.99 9,999,999.99 MEMBER NAME: XXXXXXXXXXXXXXXXXXXXXXXXXXXXX MEMBER ID: XXXXXXXXXXXX OTH INS CD: 99999 99999 99999 PAS: XXXXXXXXXX DIAG: XXXXXXX HEADER EOBS: 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 REV CD UNITS BILLED AMT ALWD AMT DETAIL EOBS 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 RRYYJJJBBBSSS XXXXXXXXXXXX MMDDYY MMDDYY XXX 999 MMDDYY 9,999,999.99 9,999,999.99 999,999.99 999,999.99 9,999,999.99 MEMBER NAME: XXXXXXXXXXXXXXXXXXXXXXXXXXXXX MEMBER ID: XXXXXXXXXXXX OTH INS CD: 99999 99999 99999 PAS: XXXXXXXXXX DIAG: XXXXXXX HEADER EOBS: 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 REV CD UNITS BILLED AMT ALWD AMT DETAIL EOBS 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 RRYYJJJBBBSSS XXXXXXXXXXXX MMDDYY MMDDYY XXX 999 MMDDYY 9,999,999.99 9,999,999.99 999,999.99 999,999.99 9,999,999.99 MEMBER NAME: XXXXXXXXXXXXXXXXXXXXXXXXXXXXX MEMBER ID: XXXXXXXXXXXX OTH INS CD: 99999 99999 99999 PAS: XXXXXXXXXX DIAG: XXXXXXX HEADER EOBS: 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 REV CD UNITS BILLED AMT ALWD AMT DETAIL EOBS 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 TOTAL LONG TERM CARE CLAIMS SUSPENDED: 999,999,999.99 99,999,999.99 999,999,999.99 999,999,999.99 99,999,999.99 TOTAL NO. SUSPENDED: 999,999 Sample Remittance Advice – Long-Term Care (cont.) Adjusted Claims For adjustments, the remittance advice displays header data for the original claim and displays both header and detail data for the adjustment claim. The net result of the adjustment is also displayed, along with the accounting of any refunded money. REPORT: CRA-LTAD-R COMMONWEALTH OF MASSACHUSETTS RA DATE: MM/DD/YYYY MEDICAID MANAGEMENT INFORMATION SYSTEM PAGE: 9999 of 9999 PROVIDER REMITTANCE ADVICE RUN: XXXXXX LONG TERM CARE ADJUSTMENT PAYEE NUMBER XXXXXXXXX X NPI: XXXXXXXXXX SERVICE DATES MBR ADMIT PAT LIAB PAT LIAB OTH INS --ICN-- PATIENT NO. FROM THRU LVL DAYS DATE BILLED AMT ALLOWED AMT AMT (CLM) AMT (APPLD) AMT PAID AMT RRYYJJJBBBSSS XXXXXXXXXXXX MMDDYY MMDDYY XXX 999 MMDDYY (9,999,999.99)(9,999,999.99)(999,999.99)(999,999.99)(9,999,999.99)(9,999,999.99) RRYYJJJBBBSSS XXXXXXXXXXXX MMDDYY MMDDYY XXX 999 MMDDYY 9,999,999.99 9,999,999.99 999,999.99 999,999.99 9,999,999.99 9,999,999.99 MEMBER NAME: XXXXXXXXXXXXXXXXXXXXXXXXXXXXX MEMBER ID: XXXXXXXXXXXX OTH INS CD: 99999 99999 99999 PAS: XXXXXXXXXX DIAG: XXXXXXX ADJUSTMENT EOB: 9999 HEADER EOBS: 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 REV CD UNITS BILLED AMT ALWD AMT DETAIL EOBS 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 TOTAL OVERPAYMENT 9,999,999.99 REFUND AMOUNT APPLIED 9,999,999.99 ADDITIONAL PAYMENT 9,999,999.99 RRYYJJJBBBSSS XXXXXXXXXXXX MMDDYY MMDDYY XXX 999 MMDDYY (9,999,999.99)(9,999,999.99)(999,999.99)(999,999.99)(9,999,999.99)(9,999,999.99) RRYYJJJBBBSSS XXXXXXXXXXXX MMDDYY MMDDYY XXX 999 MMDDYY 9,999,999.99 9,999,999.99 999,999.99 999,999.99 9,999,999.99 9,999,999.99 MEMBER NAME: XXXXXXXXXXXXXXXXXXXXXXXXXXXXX MEMBER ID: XXXXXXXXXXXX OTH INS CD: 99999 99999 99999 PAS: XXXXXXXXXX DIAG: XXXXXXX ADJUSTMENT EOB: 9999 HEADER EOBS: 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 REV CD UNITS BILLED AMT ALWD AMT DETAIL EOBS 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999999 9,999,999.99 9,999,999.99 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 9999 TOTAL OVERPAYMENT 9,999,999.99 REFUND AMOUNT APPLIED 9,999,999.99 ADDITIONAL PAYMENT 9,999,999.99 TOTAL LONG TERM CARE CLAIMS ADJUSTMENT CLAIMS PAID: 999,999,999.99 99,999,999.99 999,999,999.99 TOTAL NO. ADJUSTMENTS 999,999 999,999,999.99 99,999,999.99 999,999,999.99 Field Descriptions – Long-Term Care Field Description Length Additional Payment (Adjustment Only) Additional payment amount when the adjustment results in a positive paid amount 9 Adjustment EOB (Adjustments Only) Code identifying the purpose of the claim adjustment 4 Header EOB Code identifying the purpose of the claim 4 Admit Date Date the resident was admitted into the residential care home 6 Allowed Amt (Header) Calculated allowed amount for the claim. For adjustments, both the original and new allowed amounts are listed. 9 Alwd Amt (Detail) Calculated allowed amount for the item billed on each detail line 9 Billed Amt (Header) Amount requested by the residential care home for the days billed on the detail line 9 Billed Amt (Detail) Calculated amount allowed for the detail item billed 9 Days Number of days the resident was in the residential care home. This is the number of days submitted on the claim. 3 Detail EOBs Explanation of benefits (EOB) codes that apply to the claim detail lines. These codes are used to explain why the claim was denied. There could be a maximum of 20 EOB codes per detail line. 4 Diag Primary diagnosis submitted on the claim 7 Header EOBs EOB codes that apply to the claim header. There could be a maximum of 20 EOB codes. 4 ICN Unique number used to identify and track a claim processed through the system 13 Mbr Lvl The resident’s level of care at the time of claims processing 3 Member ID The resident’s identification number 12 Member Name Name of the resident 29 NPI NPI of the residential care home receiving the remittance advice 10 Oth Ins Amt This field will be blank. 9 Oth Ins Cd This field will be blank. 5 PAS This field will be blank. 10 Page Current page and total number of pages within the residential care home’s remittance advice 8 Field Descriptions – Long-Term Care (cont.) Field Description Length Paid Amt Amount that is payable for the claim 9 Pat Liab Amt (Appld) Resident liability amount applied to the claim during processing. This amount is subtracted from the allowed amount to arrive at the paid amount. 8 Pat Liab Amt (Clm) Resident liability amount the facility submitted on the claim 8 Patient No. Unique number assigned by the residential care home. This is usually used for filing or tracking purposes. 12 Payee Number The residential care home’s 10-character MassHealth claims payment system identification number/service location code consisting of nine numeric digits and one alpha character Note: The space between the nine-digit numeric identifier and the alphabetic service location code in the sample is not counted in the field size. 10 RA Date Date of issue, usually the Tuesday after the cycle 8 Rev Cd Revenue codes that pertain to the days being billed on the detail lines. 4 Refund Amount Applied (Adjustments Only) Refund amount applied when the adjustment results in a negative paid amount and cash is applied in the payment cycle 9 Report Internal report identifier 8 Run System-generated cycle reference number 6 Service Dates – From Earliest date on all the detail lines 6 Service Dates – Thru Latest date on all the detail lines 6 Total Long Term Care Claims – Allowed Amt (Adjusted, Denied, Paid, Pended & Suspended) Allowed amount total of all the residential care home claims appearing on this remittance advice 11 Total Long Term Care Claims – Billed Amt (Adjusted, Denied, Paid, Pended & Suspended) Total billed amount of all the residential care home claims appearing on this remittance advice 11 Field Descriptions – Long-Term Care (cont.) Field Description Length Total Long Term Care Claims – Oth Ins Amount (Adjusted, Denied, Paid, Pended & Suspended) This field will be blank. 11 Total Long Term Care Claims – Paid Amt (Adjusted, Denied, Paid, Pended & Suspended) Total of all the residential care home claims appearing on this remittance advice 11 Total Long Term Care Adjustment Claims – Pat Liab Amt (Appld) (Adjusted, Denied, Paid, Pended & Suspended) Total resident liability applied to the claims appearing on this remittance advice 10 Total Long Term Care Adjustment Claims – Pat Liab Amt (Clm) (Adjusted, Denied, Paid, Pended & Suspended) Total resident liability submitted on the claims appearing on this remittance advice 10 Total No. Total number of claims on the remittance advice for the residential care home 6 Total Overpayment Net overpayment amount when the adjustment results in a negative paid amount and an accounts receivable (setup) transaction is established 9 Units Number of days of service provided 7 Sample Remittance Advice - Financial Transactions This section of the remittance advice details the residential care home’s weekly financial activity for both payouts and non-claim specific refunds received and applied during the current financial cycle. In addition, it lists all outstanding accounts receivables (A/R) in A/R number order, and all of the residential care home’s outstanding A/Rs on a weekly basis. An example of this remittance advice is shown below. REPORT: CRA-TRAN-R COMMONWEALTH OF MASSACHUSETTS RA DATE: MM/DD/YYYY MEDICAID MANAGEMENT INFORMATION SYSTEM PAGE: 9999 of 9999 PROVIDER REMITTANCE ADVICE RUN: XXXXXX FINANCIAL TRANSACTIONS PAYEE NUMBER XXXXXXXXX X NPI: XXXXXXXXXX -------------------------EXPENDITURES-------------------------------- TRANSACTION REASON RENDERING SVC DATE NUMBER AMOUNT CODE PROVIDER/NPI FROM THRU MEMBER ID MEMBER NAME 999999999 9,999,999.99 9999 XXXXXXXXXX MMDDYY MMDDYY XXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXX 999999999 9,999,999.99 9999 XXXXXXXXXX MMDDYY MMDDYY XXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXX 999999999 9,999,999.99 9999 XXXXXXXXXX MMDDYY MMDDYY XXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXX 999999999 9,999,999.99 9999 XXXXXXXXXX MMDDYY MMDDYY XXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXX 999999999 9,999,999.99 9999 XXXXXXXXXX MMDDYY MMDDYY XXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXX 999999999 9,999,999.99 9999 XXXXXXXXXX MMDDYY MMDDYY XXXXXXXXXXXX XXXXXXXXXXXXXXXXXXXXXXXXXXXXX TOTAL EXPENDITURES: 999,999,999.99 ----------------------------ACCOUNTS RECEIVABLE---------------------- SETUP RECOUP THIS ORIGINAL TOTAL REASON ADJUSTMENT A/R NUMBER DATE CYCLE AMOUNT RECOUPMENT BALANCE CODE --ICN-- 999999999 MMDDYY 9,999,999.99 9,999,999.99 9,999,999.99 9,999,999.99 9999 RRYYJJJBBBSSS 999999999 MMDDYY 9,999,999.99 9,999,999.99 9,999,999.99 9,999,999.99 9999 RRYYJJJBBBSSS 999999999 MMDDYY 9,999,999.99 9,999,999.99 9,999,999.99 9,999,999.99 9999 RRYYJJJBBBSSS 999999999 MMDDYY 9,999,999.99 9,999,999.99 9,999,999.99 9,999,999.99 9999 RRYYJJJBBBSSS 999999999 MMDDYY 9,999,999.99 9,999,999.99 9,999,999.99 9,999,999.99 9999 RRYYJJJBBBSSS 999999999 MMDDYY 9,999,999.99 9,999,999.99 9,999,999.99 9,999,999.99 9999 RRYYJJJBBBSSS 999999999 MMDDYY 9,999,999.99 9,999,999.99 9,999,999.99 9,999,999.99 9999 RRYYJJJBBBSSS TOTAL ACCTS RECEIVABLES: 999,999,999.99 999,999,999.99 999,999,999.99 999,999,999.99 ----------------------------PAYMENT DEDUCTIONS---------------------- TRANSACTION SETUP DEDUCTED ORIGINAL TOTAL REASON NUMBER DATE THIS CYCLE AMOUNT DEDUCTED BALANCE CODE XXXXXXXXXXXXX MMDDYY 9,999,999.99 9,999,999.99 9,999,999.99 9,999,999.99 9999 XXXXXXXXXXXXX MMDDYY 9,999,999.99 9,999,999.99 9,999,999.99 9,999,999.99 9999 XXXXXXXXXXXXX MMDDYY 9,999,999.99 9,999,999.99 9,999,999.99 9,999,999.99 9999 XXXXXXXXXXXXX MMDDYY 9,999,999.99 9,999,999.99 9,999,999.99 9,999,999.99 9999 XXXXXXXXXXXXX MMDDYY 9,999,999.99 9,999,999.99 9,999,999.99 9,999,999.99 9999 XXXXXXXXXXXXX MMDDYY 9,999,999.99 9,999,999.99 9,999,999.99 9,999,999.99 9999 XXXXXXXXXXXXX MMDDYY 9,999,999.99 9,999,999.99 9,999,999.99 9,999,999.99 9999 TOTAL PAYMENT DEDUCTIONS: 999,999,999.99 999,999,999.99 999,999,999.99 999,999,999.99 Field Descriptions – Financial Transactions Field Description Length A/R Number Unique number identifying the accounts receivable number assigned during processing 13 Adjustment ICN Unique number used to track claims activity through the system. If the A/R was set up as a result of an adjustment, this number is the adjustment ICN. For manually established accounts receivables, this field is left blank. 13 Amount Amount of the expenditure 9 Balance Account receivable balance remaining after the current weekly financial cycle processes 9 Balance (Payment Deductions) Balance remaining in the payment deduction after the current weekly financial cycle processes 9 Deducted This Cycle (Payment Deductions) Amount deducted this financial cycle 9 Member ID The resident’s identification number. For expenditures, if there is a resident associated with this expenditure, an ID is displayed. Otherwise it is blank. 12 Member Name The resident’s first and last name. For expenditures, if there is a resident associated with this expenditure, a name will appear. Otherwise it will be blank. 29 NPI NPI of the residential care home receiving the remittance advice, if applicable 10 Original Amount Amount of the original A/R setup 9 Original Amount (Payment Deductions) Amount of the original payment deduction setup 9 Page Current page and total number of pages within the residential care home’s remittance advice 8 Payee Number The residential care home’s 10-character MassHealth claims payment system identification number/service location code consisting of nine numeric digits and one alpha character Note: The space between the nine-digit numeric identifier and the alphabetic service location code in the sample is not counted in the field size. 10 RA Date Date of issue, usually the Tuesday after the cycle 8 Field Descriptions – Financial Transactions (cont.) Field Description Length Reason Code (A/R) Code that identifies the type and reason the A/R was established 4 Reason Code (Expenditure) Code assigned to indicate the purpose of the expenditure 4 Reason Code (Payment Deductions) Code that identifies the type and reason the A/R was established 4 Recouped This Cycle Amount recouped this financial cycle 9 Rendering Provider/NPI NPI or the MassHealth claims payment system identification number used to identify the residential care home that provided the service 10 Report Internal report identifier 8 Run System-generated cycle reference number 6 Svc Date From Earliest date of the expenditure 6 Svc Date Thru Last date of the expenditure 6 Setup Date (Accounts Receivable) Date of the original A/R setup 6 Setup Date (Payment Deductions) Date the original payment deduction was set up 6 Total Accts Receivables (Balance) Total of A/R balance remaining after the current weekly financial cycle processes 11 Total Accts Receivables (Original Amount) Sum of the original A/R setup 11 Total Accts Receivables (Recoup This Cycle) Sum of the amount recouped this financial cycle 11 Total Accts Receivables (Total Recoupment) Sum of A/Rs recouped the current cycle and previous cycles 11 Total Deducted (Payment Deductions) Total amount deducted in the current cycle and previous cycles 9 Total Expenditures (Expenditures) Sum of all expenditures for all transaction numbers 11 Total Payment Deductions (Balance) Sum of the payment deduction balance after the current weekly financial cycle processes 11 Field Descriptions – Financial Transactions (cont.) Field Description Length Total Payment Deductions (Original Amount) Sum of the original payment deduction setup 11 Total Payment Deductions (Total Deducted) Sum of all deductions in the current cycle and previous cycles 11 Total Payment Deductions (Deducted This Cycle) Sum deducted within this financial cycle 11 Total Recoupment Total amount recouped the current cycle and previous cycles 9 Transaction Number (Expenditures) Number assigned by the system to uniquely identify expenditure 9 Transaction Number (Payment Deductions) Number assigned by the system to uniquely identify the payment deduction 9 Sample Remittance Advice – Summary Advice The remittance advice summary is generated for each cycle of claims payment to summarize all claim and financial activity for each weekly cycle and to report year-to-date totals of all claim and financial activity. It also supplies the residential care home with information about payment deductions that were withheld during the current cycle and year-to-date. An example of this summary is shown below. REPORT: CRA-SUMM-R COMMONWEALTH OF MASSACHUSETTS RA DATE: MM/DD/YYYY MEDICAID MANAGEMENT INFORMATION SYSTEM PAGE: 9999 of 9999 PROVIDER REMITTANCE ADVICE RUN: XXXXXX SUMMARY PAYEE NUMBER XXXXXXXXX X NPI: XXXXXXXXXX -------------------------CLAIMS DATA--------------------------------- CURRENT CURRENT YEAR-TO-DATE YEAR-TO-DATE NUMBER AMOUNT NUMBER AMOUNT CLAIMS PAID 999,999 999,999,999.99 9,999,999 999,999,999,999.99 CLAIM ADJUSTMENTS 999,999 999,999,999.99 9,999,999 999,999,999,999.99 TOTAL CLAIMS PAYMENTS 999,999 999,999,999.99 9,999,999 999,999,999,999.99 CLAIMS DENIED 999,999 9,999,999 CLAIMS SUSPENDED 999,999 CLAIMS PENDED 999,999 -------------------------PAYMENT DATA-------------------------------- PAYMENTS: CLAIMS PAYMENTS 999,999,999.99 999,999,999,999.99 CAPITATION PAYMENT 999,999,999.99 999,999,999,999.99 EXPENDITURES 999,999,999.99 999,999,999,999.99 ACCOUNTS RECEIVABLE RECOUPMENTS: (999,999,999.99) (999,999,999,999.99) PAYMENT DEDUCTIONS (999,999,999.99) (999,999,999,999.99) NET PAYMENT 999,999,999.99 999,999,999,999.99 VOUCHER NUMBER: XXXXXXXXX Field Descriptions – Summary Advice Field Description Length Current Amount Accounts Receivable Recoupments Total amount of all claim-specific accounts receivables (A/R) recouped during the current financial cycle 11 Current Amount Capitation Payment Total amount of the capitation payment 11 Current Amount Claim Adjustments Total of all positive adjustment claims finalized during the current financial cycle. Negative adjustments, which result in an A/R adjustment, are reported below in the offsets section. 11 Current Amount Claims Paid Total amount of the claims paid during the current weekly financial cycle 11 Current Amount Claims Payments Total amount of all claims paid and positive adjustments finalized from the current weekly financial cycle. This number is derived from the total claims payment field of the claims data section. 11 Current Amount Expenditures Total amount of all non-claim-specific payouts made to the facility for the current financial cycle. This also accounts for managed care other payments. 11 Current Amount Net Payment Sum of all claim payments less any offsets for the current financial cycle. This amount equals the facility’s weekly payment request sent to MMARS. 11 Current Amount Payment Deductions Total amount of all payment deductions recouped during the current financial cycle 11 Current Amount Total Claims Payments Total amount of all claims paid and the amount of all positive adjustments finalized during the current weekly cycle 11 Current Number Claim Adjustments Total number of all positive claim adjustments finalized during the current financial cycle. Negative adjustments that result in an A/R adjustment are reported below in the offsets section. 6 Current Number Claims Denied Total number of claims denied during the current financial cycle 6 Current Number Claims Paid Total number of claims paid during the current weekly financial cycle 6 Current Number Claims Pended Total number of claims pended during the current weekly financial cycle 6 Current Number Claims Suspended Total number of claims suspended during the current weekly financial cycle 6 Field Descriptions – Summary Advice (cont.) Field Description Length Current Number Total Claims Payments Total number of claims paid and positive adjustments finalized during the current weekly financial cycle 6 NPI NPI, if applicable, of the residential care home receiving the remittance advice 10 Page Current page and total number of pages within the facility’s remittance advice 8 Payee Number The residential care home’s 10-character MassHealth claims payment system identification number/service location code consisting of nine numeric digits and one alpha character Note: The space between the nine-digit numeric identifier and the alphabetic service location code in the sample is not counted in the field size. 10 RA Date Date of issue, usually the Tuesday after the cycle 8 Report Internal report identifier 8 Run System-generated cycle reference number 6 Voucher Number System-assigned reference number that uniquely identifies a payment request to MMARS 9 Year-to-Date Amount Accounts Receivable Recoupments Summary of all the cycles A/R recouped year to date 14 Year-to-Date Amount Capitation Payment Total amount of the capitation payments year to date 14 Year-to-Date Amount Claims Adjustments Total amount of all positive adjustments finalized year to date 14 Year-to-Date Amount Claims Paid Total amount of claims paid year to date 14 Year-to-Date Amount Claims Payments Total amount of all claims paid and the amount of all positive adjustments finalized year to date 14 Year-to-Date Amount Net Payment Sum of all claims payments less any offsets year to date 14 Year-to-Date Amount Payment Deductions Total amount of all payment deductions recouped year to date 14 Year-to-Date Amount System Expenditures Total amount of all non-claim-specific payouts made to the residential care home year to date. 14 Field Descriptions – Summary Advice (cont.) Field Description Length Year-to-Date Amount Total Claims Payments Total amount of all claims paid and positive adjustments finalized year to date. This number is derived from the total claims payment field of the claims data section. 14 Year-to-Date Number Claims Adjustments Total number of positive adjustments finalized year to date 7 Year-to-Date Number Claims Denied Total number of claims denied year to date 7 Year-to-Date Number Claims Paid Total number of claims paid year to date 7 Year-to-Date Number Total Claims Payments Total number of claims paid and positive adjustments finalized year to date 7 Sample Remittance Advice – EOB Code Description A sample of the explanation of benefits (EOB) is shown below. It lists all the EOB codes used in the preceding remittance advice (RA) pages and displays their corresponding descriptions. The purpose of this report is to give the residential care home a better explanation of the reasons why claims were either suspended or denied. The EOB codes are also used to explain any discrepancies between amounts billed and amounts paid on paid claims. REPORT: CRA-EOBM-R COMMONWEALTH OF MASSACHUSETTS RA DATE: MM/DD/YYYY MEDICAID MANAGEMENT INFORMATION SYSTEM PAGE: 9999 of 9999 PROVIDER REMITTANCE ADVICE RUN: XXXXXX EOB CODE DESCRIPTIONS PAYEE NUMBER XXXXXXXXX X NPI: XXXXXXXXXXX EOB CODE EOB CODE DESCRIPTION 9999 XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX 9999 XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX 9999 XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX 9999 XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX 9999 XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX 9999 XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX 9999 XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX 9999 XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX 9999 XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX 9999 XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX 9999 XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX 9999 XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX 9999 XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX 9999 XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX 9999 XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX 9999 XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX 9999 XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX 9999 XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX Field Descriptions - EOB Code Description Field Description Length EOB Code Explanation of benefits (EOB) codes that were applied to the submitted claims - either on the header or detail lines. These codes are used to explain the status of the claim. There is a maximum of 20 EOB codes per claim header and 20 EOB codes per detail line. 4 EOB Code Description English descriptions corresponding to the EOB codes that were used. These descriptions give the residential care home the reasons why submitted claims were suspended, denied, or not paid in full. 100 NPI NPI of the residential care home receiving the remittance advice, if applicable 10 Page Current page and total number of pages within the residential care home’s remittance advice 8 Payee Number The residential care home’s 10-character MassHealth claims payment system identification number/service location code consisting of nine numeric digits and one alpha character Note: The space between the nine-digit numeric identifier and the alphabetic service location code in the sample is not counted in the field size. 10 RA Date Date payment was issued, usually the Tuesday after the cycle 8 Report Internal report identifier 8 Run System-generated cycle reference number 6