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 4, 2025
PR Overpayment Refunds and Estimated vs. Remittance PR
Patient Responsibility
Front Office Workflows
What’s in the Guide

When Athelas receives a remittance, often the Patient Responsibility (PR) specified is different from what the patient paid at time of service. This guide walks you step-by-step through how Payments and PR are handled in this circumstance.
Overview
Part 1: In-Office
When a patient arrives at your office and makes a payment, a couple of things will be recorded to their patient profile:
First, the patient’s payment is recorded.
Then Athelas records the ‘Estimated Patient Responsibility’ for the patient, based on the amount paid. Think of this Estimated PR is a placeholder, intended to be replaced by finalized PR once we receive a remittance from the payer.
Estimated PR is created in the exact amount and type of the patient’s payment, to balance the patient’s account. For example, a $20 copay would result in the recording of:
$20
Payment of type ‘Copay’$20
Estimated PR of type ‘Copay’
This combination of Payment and Estimated PR makes sure that the patient’s balance is not impacted by the payment, keeping those funds locked away until we receive a remittance for the associated claim.
Part 2: Post-Remittance
Once a claim has been submitted and the Payer sends a remittance, Athelas often needs to update the total patient responsibility. Here’s how that process works:
The PR for this date of service is updated to the amount specified in the remittance.
The remittance type is also changed from Estimated PR to Remittance PR.
Then the new PR amount is compared against the amount previously paid, and depending the result, one of the following happens:
If Payment is equal to PR. In this case, no further action is taken.
If Payment is less than PR: The difference is added to the patient’s balance, and will be included on their next patient statement.
If Payment is greater than PR: In this case, the overpayment will become a credit on the patient’s account, to be spent at a later date.
Note: Credits created in this way are locked to the appointment’s date of service by default, and will not automatically be applied to balances for other dates of service. However your staff (or the patient) can still apply them to balances manually.
For more details, check out our guide on Credits: Flexible and Date of Service.
Features Supported:
Import credits
Add/remove credits
Refund credits back to the patient’s card
Write-off charges
Manage(add/remove) cards on file
In Conclusion
While Athelas Eligibility combined with the know-how of your team can provide a strong baseline for up-front PR collection, some portion of PR from the payers’ final decision will inevitably differ from what is collected. For these cases, Athelas automatically takes the appropriate followup action, allowing your staff to focus on more important things, like taking care of patients.
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 4, 2025
PR Overpayment Refunds and Estimated vs. Remittance PR
Patient Responsibility
Front Office Workflows
What’s in the Guide

When Athelas receives a remittance, often the Patient Responsibility (PR) specified is different from what the patient paid at time of service. This guide walks you step-by-step through how Payments and PR are handled in this circumstance.
Overview
Part 1: In-Office
When a patient arrives at your office and makes a payment, a couple of things will be recorded to their patient profile:
First, the patient’s payment is recorded.
Then Athelas records the ‘Estimated Patient Responsibility’ for the patient, based on the amount paid. Think of this Estimated PR is a placeholder, intended to be replaced by finalized PR once we receive a remittance from the payer.
Estimated PR is created in the exact amount and type of the patient’s payment, to balance the patient’s account. For example, a $20 copay would result in the recording of:
$20
Payment of type ‘Copay’$20
Estimated PR of type ‘Copay’
This combination of Payment and Estimated PR makes sure that the patient’s balance is not impacted by the payment, keeping those funds locked away until we receive a remittance for the associated claim.
Part 2: Post-Remittance
Once a claim has been submitted and the Payer sends a remittance, Athelas often needs to update the total patient responsibility. Here’s how that process works:
The PR for this date of service is updated to the amount specified in the remittance.
The remittance type is also changed from Estimated PR to Remittance PR.
Then the new PR amount is compared against the amount previously paid, and depending the result, one of the following happens:
If Payment is equal to PR. In this case, no further action is taken.
If Payment is less than PR: The difference is added to the patient’s balance, and will be included on their next patient statement.
If Payment is greater than PR: In this case, the overpayment will become a credit on the patient’s account, to be spent at a later date.
Note: Credits created in this way are locked to the appointment’s date of service by default, and will not automatically be applied to balances for other dates of service. However your staff (or the patient) can still apply them to balances manually.
For more details, check out our guide on Credits: Flexible and Date of Service.
Features Supported:
Import credits
Add/remove credits
Refund credits back to the patient’s card
Write-off charges
Manage(add/remove) cards on file
In Conclusion
While Athelas Eligibility combined with the know-how of your team can provide a strong baseline for up-front PR collection, some portion of PR from the payers’ final decision will inevitably differ from what is collected. For these cases, Athelas automatically takes the appropriate followup action, allowing your staff to focus on more important things, like taking care of patients.
Last updated:
Aug 4, 2025
PR Overpayment Refunds and Estimated vs. Remittance PR
Patient Responsibility
Front Office Workflows
What’s in the Guide

When Athelas receives a remittance, often the Patient Responsibility (PR) specified is different from what the patient paid at time of service. This guide walks you step-by-step through how Payments and PR are handled in this circumstance.
Overview
Part 1: In-Office
When a patient arrives at your office and makes a payment, a couple of things will be recorded to their patient profile:
First, the patient’s payment is recorded.
Then Athelas records the ‘Estimated Patient Responsibility’ for the patient, based on the amount paid. Think of this Estimated PR is a placeholder, intended to be replaced by finalized PR once we receive a remittance from the payer.
Estimated PR is created in the exact amount and type of the patient’s payment, to balance the patient’s account. For example, a $20 copay would result in the recording of:
$20
Payment of type ‘Copay’$20
Estimated PR of type ‘Copay’
This combination of Payment and Estimated PR makes sure that the patient’s balance is not impacted by the payment, keeping those funds locked away until we receive a remittance for the associated claim.
Part 2: Post-Remittance
Once a claim has been submitted and the Payer sends a remittance, Athelas often needs to update the total patient responsibility. Here’s how that process works:
The PR for this date of service is updated to the amount specified in the remittance.
The remittance type is also changed from Estimated PR to Remittance PR.
Then the new PR amount is compared against the amount previously paid, and depending the result, one of the following happens:
If Payment is equal to PR. In this case, no further action is taken.
If Payment is less than PR: The difference is added to the patient’s balance, and will be included on their next patient statement.
If Payment is greater than PR: In this case, the overpayment will become a credit on the patient’s account, to be spent at a later date.
Note: Credits created in this way are locked to the appointment’s date of service by default, and will not automatically be applied to balances for other dates of service. However your staff (or the patient) can still apply them to balances manually.
For more details, check out our guide on Credits: Flexible and Date of Service.
Features Supported:
Import credits
Add/remove credits
Refund credits back to the patient’s card
Write-off charges
Manage(add/remove) cards on file
In Conclusion
While Athelas Eligibility combined with the know-how of your team can provide a strong baseline for up-front PR collection, some portion of PR from the payers’ final decision will inevitably differ from what is collected. For these cases, Athelas automatically takes the appropriate followup action, allowing your staff to focus on more important things, like taking care of patients.