Use the General Ledger Interface feature to export DrCloudEHR billing and payment data for a selected accounting period to comma-separated value (.csv) files that you can import into your general ledger system.
The feature exports billing and payment data associated with crosswalk entries defined in DrCloudEHR. A crosswalk contains the information needed to export data to accounts in your general ledger system. You can configure the application to create crosswalk entries for any combination of the following:
After you create a crosswalk, billing and payment data for the selected facility, insurance provider or service code is associated with the corresponding accounts when you export the data.
Contact DrCloudEHR Sales to add this feature to your site.
This topic contains the following sections:
Before you use the General Ledger Interface feature, define the general ledger account number for each facility, insurance provider, and service code for which you want to export data.
Each account number should contain the same number of characters.
Define the format for crosswalk entries created in DrCloudEHR. The format you define applies to all crosswalks that you create.
You can select more than one entity to include in crosswalks. For example, you can configure the application to create crosswalks that combine insurance providers and facilities. When you create a new crosswalk, you select the corresponding insurance provider and facility to include. The application then adds the account numbers for each selected facility and insurance provider to the crosswalk.
Define the format of accounts included in crosswalks in the Other Settings section. The following table describes the properties you set:
Separator for Revenue Account Number | The separator to use when the application generates account numbers using the Ledger Account Number for each selected entity. For example: <Insurance Account Number>-<Facility Account Number> |
Length of GL Account Numbers | The maximum number of characters that you can include in account numbers. All characters in the string, including the separator, are included in the length. |
Records to display on the page | The maximum number of crosswalk entries to display in the Export Data window. |
GL Number for patients with no insurance | The value to display for patients that do not have insurance. The value is appended to Revenue and Cash account numbers in the crosswalk. You must specify a numeric value. |
The following image shows the settings defined to create crosswalk entries that include the combination of Insurance and Facility. Account numbers for patients without insurance will include 0000.
Create a crosswalk entry for each facility, insurance provider, or service code for which you export data.
When you export data, you select the month and year for the accounting period for which you want to export data. Close the accounting period before you export data to ensure that you do not export unwanted transactions to your general ledger.
Note: After you close an accounting period, no new transactions can be posted to the period. In addition, all encounters created during the accounting period are also closed, and cannot be edited or updated.
For more information on accounting periods, see Managing Accounting Periods.
After you create your crosswalk entries, you can export billing and payment data associated with each crosswalk. The application generates a .zip file containing the exported data in the following comma-separated value (.csv) files:
DrCloudEHR downloads the .zip file to your computer. Open each .csv file within the .zip file, and import the data into your general ledger system.
Click Search to load the data for the selected accounting period.
The following image shows a summary of the export data for each crosswalk. For each claim or payment included in the data, the GL Account column contains two accounts. The account number in the first row is the Revenue or Cash account number as defined in the crosswalk. The second row contains the A/R account number.