Hann’s On Reporting Solutions


rpt_code rpt_title
!as_1013 Profitability by Payer within Payer Type
!as_1014 Patients with Active Orders
!as_1017 Adjustment Log By Payer Within Adjustment Type
!as_1037 A/R Analyzer as of {}
!as_1037a A/R – Small Balances as of {}
!as_1039 Cash Posting Analyzer from {} through {}
!as_1039s Summary Cash Posting Journal By Check Within Payer from {} through {}
!as_1040 Contractual Allowance Review by Payer for primary claims billed {} through {}
!as_1046 Detail Bank Deposit reconciliation for transaction date {} through {}
!as_1046s Summary Bank Deposit Rconciliation for transaction date {} through {}
!as_1055 Bad Debt Reserve as of {}
!as_1056 Check Reconciliation by Date for transaction dates {} through {}
!as_1003 Active Orders Missing Authorization by Patient
!as_1020c Discharged Patients with Missing Discharges
!as_1022 Claim / Claim Detail Audit Report
!as_1022a Claim Log Balancing Report
!as_1038 Orders With Missing Therapies
!as_1041 Financial Codes
!as_1044 Cancelled Orders By Mix Date Within Site for orders mixed from {} through {}
!as_1047 Master Payer List
!as_1053 Non Active Patients with Active Catheters By Patient Status
!as_1057a User Security Access Audit
!as_1060 Active Therapies without Active Orders
!as_1063 Cancelled Claims Audit Report from {} through {}
!as_1064 Patients with Multiple Primary Insurances
!as_1070 Physician License Information
!as_1070a Physician License Information for Physicians with Active Orders
!as_1071 Patients with Multiple Primary Insurances by Patient Status
!as_1012 Cash Aging by Payer for {} through {}
!as_1012a Cash Aging Analyzer for {} through {}
!as_1012b Cash Posting Analyzer for {} through {}
!as_1015a New Revenue for Primary Claims Billed from {} through {}
!as_1016 Daily Financial Flash
!as_1017a Adjustment Log Analyzer for {} through {}
!as_1017b Adjustment Aging Analyzer for adjustments posted between {} and {}
!as_1017c Adjustment Log By Payer Within Adjustment Type for {} through {}
!as_1018 Cost of Goods Sold By Patient by Facility
!as_1031 12 Month Descending New Revenue as of {}
!as_1033 Claims Analysis by Patient for primary claims billed between {} and {}
!as_1033a Claims Analysis for {}
!as_1033b Claims with Remaining Balances after Transferred for primary claims billed {} through {}
!as_1042 Unbilled Order Analyzer
!as_1042a Unbilled Order Analyzer DME ONLY
!as_1045 Unlocked Claims Analyzer as of {}
!as_1054 Prior Authorizations Expiring from {} through {}
!as_1065 Medicare Equipment Billing History for claims billed from {} through {}
!as_1049 Referral Log by {} Referred from {} through {}
!as_1002 Patients with Active Orders by Home Health Agency
!as_1020b Discharge Log By Current Patient Status for {} through {}
!as_1020d Admissions Log by Current Patient Status
!as_1058 Discharged Patients by Discharge Week ffrom {} through {}
!as_1061 Patient Census By Therapy as of {}
!as_1062 Net Census for {} through {}
!as_1067 Emergency Contact Information for Non-Discharged Patients
!as_1068 Intake Audit Report By {} from {} through {}
!as_1069 Intake Audits in Process By Intake Status from {} through {}
!as_1072 Master Patient Census by Patient Type
!as_1073 Active Patients Without Active Orders
!as_1005 Workload Summary by Order Type for {} through {}
!as_1005a Workload Summary by Therapy Type for {} through {}
!as_1007 Refill Log by Patient within Home Health Agency for {} through {}
!as_1011 Prescription Log by RX Number for {} through {}
!as_1011a Prescription Log by {} for {} through {}
!as_1011b Refill Log by Order Status within Home Health Agency for Next Fill Date from {} through {}
!as_1052 Catheter Days In Service between {} and {}
!as_1029 Patient Statement
!as_1029a Patient Statment – Requested from {} through {}
!as_1029b Patient Statment – Patient IDs
!as_1029c Patient Statment Pre-Edit Report
!as_1029d Patient Pay Collections Workshee
!as_1057 Active User List By Account Status
!as_1066 Clinical Intervention Fields