Search all docs
Provider Workflows
Chart Notes
Auto-apply KX Modifier
Getting Started with Chart Notes
AI Appt. Summaries
Chart Note Clinical Types
Download Chart Notes as PDFs
Goals on the chart note
How to add Measurements
Import Previous Medical History
Navigating Flowsheets
Navigating Inbox Workflows
Navigating the Chart Note
Set up Custom Chart Note Templates
Setting up Co-signers on Your Note
Sign a Chart Note
Text Snippets For Your Note
Chart Note Features Not Supported
Chart Notes
Claim Details
Claim Details
Front Office Workflows
Appointments
The Insights Appointments Page
Adding Prior Auth and Alerting
Alternate Methods for Scheduling
How to Add a Walk-In Patient
How to Run an Eligibility Check
How to Schedule an Appointment
How to Take Payments
Sending out reminders and forms
Understanding Appointment Details
Updating Appointment Statuses
Appt. Features not supported
Appointments
Daily Operations
Daily Operations
Patient Communications
General Patient Flows Features
Text Blast Page
Insurance Intake Page
Functional Outcome Measurements
Getting Started with Patient Portal
Complete Intake Forms
Navigating Patient Workflows
Manage Patient Appointments
Manage Payments through Patient Portal
Patient Intake Automation
Update Insurance Info
View Home Exercise Programs
Patient Communications
Patient Responsibility
Charge Saved Credit Cards
Manage Credit Cards
Setting up a Payment Plan
How to Cancel PR
How to Send a Patient Payment Link
How to Push to PR
How to Record Payments
How to Refund a Payment
How to Request via Text or Email
How to Set Up Miscellaneous Line Item Charges
How to Take Payment for Families
How to Undo a Write Off
How to Write Off PR
Patient Responsibility Page
PR Overpayment Refunds and Estimated vs. Remittance PR
PR Settings
PR Timeline
Patient Responsibility
Billing Workflows
Front Office Payments
Front Office Payments
Reports
A/R Reports
Building and Running Reports
Claim Adjustments Report
Collections Report
Custom Collections Report
Detailed Charges Report
Export Claim Details
Generate a Transaction Report
Patient Balances Report
Patient Charges Report
Patient Claims One-pagers
Patient Collections Report
Patient Eligibility Report
Posting Log Report
Site Transaction Report
Site Transaction Report Summary
Submitted Claims Report
Upcoming Patient Statements Report
Reports
Owners & Administration
Last updated:
Aug 5, 2025
EOB Creation and Portal Checks
Utilities
Front Office Workflows
At a Glance

The EOB Creation page is your headquarters for manually uploading remittances to your claims.
If you find yourself in possession of an EOB for an unreconciled claim, this is the tool you’ll use to update the claim status in Insights. It also accepts data from payer portal checks and good old fashioned calls to the payer.
Best Practices 1. If you have an EOB you need to import urgently, this tool is your best path. Imported EOBs will appear in Athelas Insights within 24 hours of submission.
2. If you’re not in a hurry, you can bulk-upload your EOBs to this tool and the Athelas reconciliation team will import the EOBs data (though this takes longer to process).
3. If you’re not sure what claims need remittances, head over to the AR Report page to get a list of claims that are overdue for a decision.
Core Feature Walkthrough
We will refer to all manual remittance types — EOBs, Payer Portal Checks, and Payer Calls — as ‘EOBs’ in this guide.
Here’s how to upload a new EOB:
1. View EOBs by Status

When you land on the EOB Creation page, you will see six tabs indicating the status of the EOBs listed:
Backlog
EOBs that have not yet been touched by your practice’s staff will populate the backlog.
In Progress
EOBs located here are either being indexed (identifying what claims are on an EOB that require posted remits) or transcribed (writing the details of each claim on the EOB in Insights). Given that some EOBs can have 400+ claims, it is possible that they may be in this state for a few days.
Partially Completed
EOBs in this tab were submitted, but at least one EOB failed.
Note: A common error for EOBs here is a missing check number or check date. Any remit greater than $0.00 requires these two things to successfully post.
Submitting
These EOBs are currently being submitted and will be done soon, depending on the number of associated claims.
Posted
These EOBs have all been successfully posted.
Blocked
Something is wrong and these won’t be posted. This usually happens for EOBs that are duplicates, or have some similar issue.
Within any of these tabs, use the Multi-Search function to filter the EOBs listed by EOB ID, insurance, check number, patient name, or file name.

You can also click the ‘Actions’ menu to either view or delete a file.

2. Upload an EOB File or Screenshot
Assuming you’re starting from scratch, click the ‘Post a New EOB’ button to get started.

Select the type of EOB you’ll be importing. Upload the file and then click ‘Continue.’

Uploading is not technically required. However, for accurate record keeping and quality assurance, uploading evidence of the payer decision is strongly encouraged.
Next, you can use the search filters (Patient, Date of Service, Multi-Search) to find the claim(s) you want to link to the EOB. Then click ‘Add to EOB.’

Repeat this process until you’ve added all the claims you want, then click ‘Process EOBs.’

3. Enter the Remittance Data
Autosave - This portion of the tool will automatically save your progress.
Now it’s time to fill in the key data from the EOB.
Keep an eye on your count of validation errors next to the submit button. This keeps a live tally of issues that need to be resolved in the EOB.
Moving your cursor over this note will provide a list of the specific patients’ claims where the issues are located.

Find the patient/claim with an error, indicated by red ‘Information’ icons. You can then hover your cursor over the icon to the right of the CPT code description to discover what the specific issue is and rectify it.

If your EOB contains an adjustment that doesn’t fall into the most common categories, you can add a custom adjustment using the ‘Add Adjustment’ button.
This is most often needed for Denials.

Clicking the button will add a new row to your EOB to hold the custom adjustment:

Here you’ll enter the following data:
Group Code
For example, the “CO” in CO-45, or “PR” in PR-1.
CARC
Claim Adjustment Reason Code, e.g. the “45” in CO-45.
Amount
The dollar value of the adjustment.
RARC
Remittance Advice Reason Code, these are optional codes that provide extra detail into the outcome of the claim.
Continue to fill in remittance data for each procedure in the claim. As you go, our tool will be watching for inaccuracies and give you feedback in two ways:
Unaccounted For
In most EOBs, the total adjustments, patient responsibility, and insurance payments should be equal to the charge amount.
For this reason we provide a live tally of the difference between the charge amount and the data you’ve entered so far.
If you feel you’ve entered all the data from an EOB and there’s still a value showing in ‘Unaccounted for,’ then it’s worth double checking your entries.
Validation Errors
In the upper right of each procedure you’ll also find an icon indicating if any fields are missing, or if the value entered are not adding up.
Move your mouse over the icon to see a tooltip of all detected issues.
Once all the remittances are filled in, proceed to the next claim and continue until the data for each claim has been completed.
Check Numbers & Dates While these fields are not technically required, we strongly encourage you to enter the check number and check date for a claim if this is included on your EOB. This data has a number of uses, including helping Athelas to match the EOB to your bank deposits if you’re using our Deposit Verification feature.

4. Submit the EOB!
If everything has gone as planned you should now see a visual indicator that all validation checks are passing. If they’re not, this is a good moment to quickly check your work.

Occasionally an EOB will truly contain data that fails validation checks. If that happens don’t worry, you can still submit your EOB!
Our validation checks are purely informational, and do not prevent you from submitting an EOB. As long as the required fields are filled in, you can always submit.
Click the ‘Submit’ button in the upper right of the page, and a window will pop up to request your final confirmation.
Hit ‘Confirm’ to finalize your submission.

The EOB will take a few moments to submit each claim linked to your EOB. For large numbers of claims this may take as long as half a minute.
Once submission is complete you’ll be shown a confirmation message, then redirected back to the main EOB page. Success!

And that’s it! New EOB data will show up on your claims within 24 hours.
While that data is processing, claims included in the EOB will be marked with a notification so your team knows that updates are in progress.

General Summary of Features Supported:
Features Supported:
Upload an EOB
Transcribe EOB and create remittances in the system
EOB copilot - AI transcription of EOBs
Features In Development:
Post claim and provider adjustments on an EOB
Post interest payments on the claim level
Post checks for non-Athelas claims
❓ Frequently Asked Questions
Am I required to upload a file for my EOB?
No, uploading a file or screenshot is optional (but it’s strongly encouraged for record keeping).
What types of remittances can I upload?
You can upload an EOB
, data from a Payer Portal
check, or info from Calling a Payer
.
Should I use this tool to upload EOBs I want Athelas to process?
Yes! EOBs intended for processing by the Athelas team should be bulk upload via this tool, which is monitored by the Athelas remittance team.
Table of Contents
Search all docs
Provider Workflows
Chart Notes
Auto-apply KX Modifier
Getting Started with Chart Notes
AI Appt. Summaries
Chart Note Clinical Types
Download Chart Notes as PDFs
Goals on the chart note
How to add Measurements
Import Previous Medical History
Navigating Flowsheets
Navigating Inbox Workflows
Navigating the Chart Note
Set up Custom Chart Note Templates
Setting up Co-signers on Your Note
Sign a Chart Note
Text Snippets For Your Note
Chart Note Features Not Supported
Chart Notes
Claim Details
Claim Details
Front Office Workflows
Appointments
The Insights Appointments Page
Adding Prior Auth and Alerting
Alternate Methods for Scheduling
How to Add a Walk-In Patient
How to Run an Eligibility Check
How to Schedule an Appointment
How to Take Payments
Sending out reminders and forms
Understanding Appointment Details
Updating Appointment Statuses
Appt. Features not supported
Appointments
Daily Operations
Daily Operations
Patient Communications
General Patient Flows Features
Text Blast Page
Insurance Intake Page
Functional Outcome Measurements
Getting Started with Patient Portal
Complete Intake Forms
Navigating Patient Workflows
Manage Patient Appointments
Manage Payments through Patient Portal
Patient Intake Automation
Update Insurance Info
View Home Exercise Programs
Patient Communications
Patient Responsibility
Charge Saved Credit Cards
Manage Credit Cards
Setting up a Payment Plan
How to Cancel PR
How to Send a Patient Payment Link
How to Push to PR
How to Record Payments
How to Refund a Payment
How to Request via Text or Email
How to Set Up Miscellaneous Line Item Charges
How to Take Payment for Families
How to Undo a Write Off
How to Write Off PR
Patient Responsibility Page
PR Overpayment Refunds and Estimated vs. Remittance PR
PR Settings
PR Timeline
Patient Responsibility
Billing Workflows
Front Office Payments
Front Office Payments
Reports
A/R Reports
Building and Running Reports
Claim Adjustments Report
Collections Report
Custom Collections Report
Detailed Charges Report
Export Claim Details
Generate a Transaction Report
Patient Balances Report
Patient Charges Report
Patient Claims One-pagers
Patient Collections Report
Patient Eligibility Report
Posting Log Report
Site Transaction Report
Site Transaction Report Summary
Submitted Claims Report
Upcoming Patient Statements Report
Reports
Owners & Administration
Search all docs
Provider Workflows
Chart Notes
Auto-apply KX Modifier
Getting Started with Chart Notes
AI Appt. Summaries
Chart Note Clinical Types
Download Chart Notes as PDFs
Goals on the chart note
How to add Measurements
Import Previous Medical History
Navigating Flowsheets
Navigating Inbox Workflows
Navigating the Chart Note
Set up Custom Chart Note Templates
Setting up Co-signers on Your Note
Sign a Chart Note
Text Snippets For Your Note
Chart Note Features Not Supported
Chart Notes
Claim Details
Claim Details
Front Office Workflows
Appointments
The Insights Appointments Page
Adding Prior Auth and Alerting
Alternate Methods for Scheduling
How to Add a Walk-In Patient
How to Run an Eligibility Check
How to Schedule an Appointment
How to Take Payments
Sending out reminders and forms
Understanding Appointment Details
Updating Appointment Statuses
Appt. Features not supported
Appointments
Daily Operations
Daily Operations
Patient Communications
General Patient Flows Features
Text Blast Page
Insurance Intake Page
Functional Outcome Measurements
Getting Started with Patient Portal
Complete Intake Forms
Navigating Patient Workflows
Manage Patient Appointments
Manage Payments through Patient Portal
Patient Intake Automation
Update Insurance Info
View Home Exercise Programs
Patient Communications
Patient Responsibility
Charge Saved Credit Cards
Manage Credit Cards
Setting up a Payment Plan
How to Cancel PR
How to Send a Patient Payment Link
How to Push to PR
How to Record Payments
How to Refund a Payment
How to Request via Text or Email
How to Set Up Miscellaneous Line Item Charges
How to Take Payment for Families
How to Undo a Write Off
How to Write Off PR
Patient Responsibility Page
PR Overpayment Refunds and Estimated vs. Remittance PR
PR Settings
PR Timeline
Patient Responsibility
Billing Workflows
Front Office Payments
Front Office Payments
Reports
A/R Reports
Building and Running Reports
Claim Adjustments Report
Collections Report
Custom Collections Report
Detailed Charges Report
Export Claim Details
Generate a Transaction Report
Patient Balances Report
Patient Charges Report
Patient Claims One-pagers
Patient Collections Report
Patient Eligibility Report
Posting Log Report
Site Transaction Report
Site Transaction Report Summary
Submitted Claims Report
Upcoming Patient Statements Report
Reports
Owners & Administration
Last updated:
Aug 5, 2025
EOB Creation and Portal Checks
Utilities
Front Office Workflows
At a Glance

The EOB Creation page is your headquarters for manually uploading remittances to your claims.
If you find yourself in possession of an EOB for an unreconciled claim, this is the tool you’ll use to update the claim status in Insights. It also accepts data from payer portal checks and good old fashioned calls to the payer.
Best Practices 1. If you have an EOB you need to import urgently, this tool is your best path. Imported EOBs will appear in Athelas Insights within 24 hours of submission.
2. If you’re not in a hurry, you can bulk-upload your EOBs to this tool and the Athelas reconciliation team will import the EOBs data (though this takes longer to process).
3. If you’re not sure what claims need remittances, head over to the AR Report page to get a list of claims that are overdue for a decision.
Core Feature Walkthrough
We will refer to all manual remittance types — EOBs, Payer Portal Checks, and Payer Calls — as ‘EOBs’ in this guide.
Here’s how to upload a new EOB:
1. View EOBs by Status

When you land on the EOB Creation page, you will see six tabs indicating the status of the EOBs listed:
Backlog
EOBs that have not yet been touched by your practice’s staff will populate the backlog.
In Progress
EOBs located here are either being indexed (identifying what claims are on an EOB that require posted remits) or transcribed (writing the details of each claim on the EOB in Insights). Given that some EOBs can have 400+ claims, it is possible that they may be in this state for a few days.
Partially Completed
EOBs in this tab were submitted, but at least one EOB failed.
Note: A common error for EOBs here is a missing check number or check date. Any remit greater than $0.00 requires these two things to successfully post.
Submitting
These EOBs are currently being submitted and will be done soon, depending on the number of associated claims.
Posted
These EOBs have all been successfully posted.
Blocked
Something is wrong and these won’t be posted. This usually happens for EOBs that are duplicates, or have some similar issue.
Within any of these tabs, use the Multi-Search function to filter the EOBs listed by EOB ID, insurance, check number, patient name, or file name.

You can also click the ‘Actions’ menu to either view or delete a file.

2. Upload an EOB File or Screenshot
Assuming you’re starting from scratch, click the ‘Post a New EOB’ button to get started.

Select the type of EOB you’ll be importing. Upload the file and then click ‘Continue.’

Uploading is not technically required. However, for accurate record keeping and quality assurance, uploading evidence of the payer decision is strongly encouraged.
Next, you can use the search filters (Patient, Date of Service, Multi-Search) to find the claim(s) you want to link to the EOB. Then click ‘Add to EOB.’

Repeat this process until you’ve added all the claims you want, then click ‘Process EOBs.’

3. Enter the Remittance Data
Autosave - This portion of the tool will automatically save your progress.
Now it’s time to fill in the key data from the EOB.
Keep an eye on your count of validation errors next to the submit button. This keeps a live tally of issues that need to be resolved in the EOB.
Moving your cursor over this note will provide a list of the specific patients’ claims where the issues are located.

Find the patient/claim with an error, indicated by red ‘Information’ icons. You can then hover your cursor over the icon to the right of the CPT code description to discover what the specific issue is and rectify it.

If your EOB contains an adjustment that doesn’t fall into the most common categories, you can add a custom adjustment using the ‘Add Adjustment’ button.
This is most often needed for Denials.

Clicking the button will add a new row to your EOB to hold the custom adjustment:

Here you’ll enter the following data:
Group Code
For example, the “CO” in CO-45, or “PR” in PR-1.
CARC
Claim Adjustment Reason Code, e.g. the “45” in CO-45.
Amount
The dollar value of the adjustment.
RARC
Remittance Advice Reason Code, these are optional codes that provide extra detail into the outcome of the claim.
Continue to fill in remittance data for each procedure in the claim. As you go, our tool will be watching for inaccuracies and give you feedback in two ways:
Unaccounted For
In most EOBs, the total adjustments, patient responsibility, and insurance payments should be equal to the charge amount.
For this reason we provide a live tally of the difference between the charge amount and the data you’ve entered so far.
If you feel you’ve entered all the data from an EOB and there’s still a value showing in ‘Unaccounted for,’ then it’s worth double checking your entries.
Validation Errors
In the upper right of each procedure you’ll also find an icon indicating if any fields are missing, or if the value entered are not adding up.
Move your mouse over the icon to see a tooltip of all detected issues.
Once all the remittances are filled in, proceed to the next claim and continue until the data for each claim has been completed.
Check Numbers & Dates While these fields are not technically required, we strongly encourage you to enter the check number and check date for a claim if this is included on your EOB. This data has a number of uses, including helping Athelas to match the EOB to your bank deposits if you’re using our Deposit Verification feature.

4. Submit the EOB!
If everything has gone as planned you should now see a visual indicator that all validation checks are passing. If they’re not, this is a good moment to quickly check your work.

Occasionally an EOB will truly contain data that fails validation checks. If that happens don’t worry, you can still submit your EOB!
Our validation checks are purely informational, and do not prevent you from submitting an EOB. As long as the required fields are filled in, you can always submit.
Click the ‘Submit’ button in the upper right of the page, and a window will pop up to request your final confirmation.
Hit ‘Confirm’ to finalize your submission.

The EOB will take a few moments to submit each claim linked to your EOB. For large numbers of claims this may take as long as half a minute.
Once submission is complete you’ll be shown a confirmation message, then redirected back to the main EOB page. Success!

And that’s it! New EOB data will show up on your claims within 24 hours.
While that data is processing, claims included in the EOB will be marked with a notification so your team knows that updates are in progress.

General Summary of Features Supported:
Features Supported:
Upload an EOB
Transcribe EOB and create remittances in the system
EOB copilot - AI transcription of EOBs
Features In Development:
Post claim and provider adjustments on an EOB
Post interest payments on the claim level
Post checks for non-Athelas claims
❓ Frequently Asked Questions
Am I required to upload a file for my EOB?
No, uploading a file or screenshot is optional (but it’s strongly encouraged for record keeping).
What types of remittances can I upload?
You can upload an EOB
, data from a Payer Portal
check, or info from Calling a Payer
.
Should I use this tool to upload EOBs I want Athelas to process?
Yes! EOBs intended for processing by the Athelas team should be bulk upload via this tool, which is monitored by the Athelas remittance team.
Last updated:
Aug 5, 2025
EOB Creation and Portal Checks
Utilities
Front Office Workflows
At a Glance

The EOB Creation page is your headquarters for manually uploading remittances to your claims.
If you find yourself in possession of an EOB for an unreconciled claim, this is the tool you’ll use to update the claim status in Insights. It also accepts data from payer portal checks and good old fashioned calls to the payer.
Best Practices 1. If you have an EOB you need to import urgently, this tool is your best path. Imported EOBs will appear in Athelas Insights within 24 hours of submission.
2. If you’re not in a hurry, you can bulk-upload your EOBs to this tool and the Athelas reconciliation team will import the EOBs data (though this takes longer to process).
3. If you’re not sure what claims need remittances, head over to the AR Report page to get a list of claims that are overdue for a decision.
Core Feature Walkthrough
We will refer to all manual remittance types — EOBs, Payer Portal Checks, and Payer Calls — as ‘EOBs’ in this guide.
Here’s how to upload a new EOB:
1. View EOBs by Status

When you land on the EOB Creation page, you will see six tabs indicating the status of the EOBs listed:
Backlog
EOBs that have not yet been touched by your practice’s staff will populate the backlog.
In Progress
EOBs located here are either being indexed (identifying what claims are on an EOB that require posted remits) or transcribed (writing the details of each claim on the EOB in Insights). Given that some EOBs can have 400+ claims, it is possible that they may be in this state for a few days.
Partially Completed
EOBs in this tab were submitted, but at least one EOB failed.
Note: A common error for EOBs here is a missing check number or check date. Any remit greater than $0.00 requires these two things to successfully post.
Submitting
These EOBs are currently being submitted and will be done soon, depending on the number of associated claims.
Posted
These EOBs have all been successfully posted.
Blocked
Something is wrong and these won’t be posted. This usually happens for EOBs that are duplicates, or have some similar issue.
Within any of these tabs, use the Multi-Search function to filter the EOBs listed by EOB ID, insurance, check number, patient name, or file name.

You can also click the ‘Actions’ menu to either view or delete a file.

2. Upload an EOB File or Screenshot
Assuming you’re starting from scratch, click the ‘Post a New EOB’ button to get started.

Select the type of EOB you’ll be importing. Upload the file and then click ‘Continue.’

Uploading is not technically required. However, for accurate record keeping and quality assurance, uploading evidence of the payer decision is strongly encouraged.
Next, you can use the search filters (Patient, Date of Service, Multi-Search) to find the claim(s) you want to link to the EOB. Then click ‘Add to EOB.’

Repeat this process until you’ve added all the claims you want, then click ‘Process EOBs.’

3. Enter the Remittance Data
Autosave - This portion of the tool will automatically save your progress.
Now it’s time to fill in the key data from the EOB.
Keep an eye on your count of validation errors next to the submit button. This keeps a live tally of issues that need to be resolved in the EOB.
Moving your cursor over this note will provide a list of the specific patients’ claims where the issues are located.

Find the patient/claim with an error, indicated by red ‘Information’ icons. You can then hover your cursor over the icon to the right of the CPT code description to discover what the specific issue is and rectify it.

If your EOB contains an adjustment that doesn’t fall into the most common categories, you can add a custom adjustment using the ‘Add Adjustment’ button.
This is most often needed for Denials.

Clicking the button will add a new row to your EOB to hold the custom adjustment:

Here you’ll enter the following data:
Group Code
For example, the “CO” in CO-45, or “PR” in PR-1.
CARC
Claim Adjustment Reason Code, e.g. the “45” in CO-45.
Amount
The dollar value of the adjustment.
RARC
Remittance Advice Reason Code, these are optional codes that provide extra detail into the outcome of the claim.
Continue to fill in remittance data for each procedure in the claim. As you go, our tool will be watching for inaccuracies and give you feedback in two ways:
Unaccounted For
In most EOBs, the total adjustments, patient responsibility, and insurance payments should be equal to the charge amount.
For this reason we provide a live tally of the difference between the charge amount and the data you’ve entered so far.
If you feel you’ve entered all the data from an EOB and there’s still a value showing in ‘Unaccounted for,’ then it’s worth double checking your entries.
Validation Errors
In the upper right of each procedure you’ll also find an icon indicating if any fields are missing, or if the value entered are not adding up.
Move your mouse over the icon to see a tooltip of all detected issues.
Once all the remittances are filled in, proceed to the next claim and continue until the data for each claim has been completed.
Check Numbers & Dates While these fields are not technically required, we strongly encourage you to enter the check number and check date for a claim if this is included on your EOB. This data has a number of uses, including helping Athelas to match the EOB to your bank deposits if you’re using our Deposit Verification feature.

4. Submit the EOB!
If everything has gone as planned you should now see a visual indicator that all validation checks are passing. If they’re not, this is a good moment to quickly check your work.

Occasionally an EOB will truly contain data that fails validation checks. If that happens don’t worry, you can still submit your EOB!
Our validation checks are purely informational, and do not prevent you from submitting an EOB. As long as the required fields are filled in, you can always submit.
Click the ‘Submit’ button in the upper right of the page, and a window will pop up to request your final confirmation.
Hit ‘Confirm’ to finalize your submission.

The EOB will take a few moments to submit each claim linked to your EOB. For large numbers of claims this may take as long as half a minute.
Once submission is complete you’ll be shown a confirmation message, then redirected back to the main EOB page. Success!

And that’s it! New EOB data will show up on your claims within 24 hours.
While that data is processing, claims included in the EOB will be marked with a notification so your team knows that updates are in progress.

General Summary of Features Supported:
Features Supported:
Upload an EOB
Transcribe EOB and create remittances in the system
EOB copilot - AI transcription of EOBs
Features In Development:
Post claim and provider adjustments on an EOB
Post interest payments on the claim level
Post checks for non-Athelas claims
❓ Frequently Asked Questions
Am I required to upload a file for my EOB?
No, uploading a file or screenshot is optional (but it’s strongly encouraged for record keeping).
What types of remittances can I upload?
You can upload an EOB
, data from a Payer Portal
check, or info from Calling a Payer
.
Should I use this tool to upload EOBs I want Athelas to process?
Yes! EOBs intended for processing by the Athelas team should be bulk upload via this tool, which is monitored by the Athelas remittance team.