Revenue Cycle Management is more than keeping a close eye on accounts receivable and billing.
Our philosophy surrounds a dynamic and multifaceted model of measuring, monitoring, reporting and acting to increase cash flow.
Contract negotiations, payer mix management, marketing and leveraging technology allows Sierra Management Group to create cash flow opportunities by shortening the days in accounts receivable, increasing the backend dollars per patient, and reducing the need for staff or overhead.
Independent practitioners have the latitude for better disease management and cost containment, however, they pay the price with the burdens of finance and business management.
Partnership with an aligned management services organization will allow the practitioner to focus on medicine, while we focus on revenue cycle management