Join CTAHE, in partnership with ACHE RI, MA ACHE, CTHFMA and NESHS for "COVID-19: Financial Recovery & Cash Flow Stabilization – Revenue Cycle Perspective" -A Webinar Presented by BRG
The loss of provider revenue and accompanying cash deterioration caused by COVID-19 requires organizations to adapt operations to ensure long-term financial viability. The webinar will focus on revenue cycle operational enhancements, liquidity management and other ideas to preserve cash.
1. Increase cash reserves.
2. Prepare for regulatory and macro-economic changes brought on by COVID-19.
3. Resource deployment: Prepare for extended period of remote operation and staff turnover.
Program has been approved for 1.0 hour of ACHE Qualified Education Credits