MATCHING 59. Match the following bookkeeping terms to the appropriate definition Charges Payments Accounts receivable...

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Finance

MATCHING

59. Match the following bookkeeping terms to the appropriate definition

Charges

Payments

Accounts receivable

Accounts payable

Adjustments

End of day reconciliation

1. Reimbursement from insurance or patient

2. Credits posted to a patient account that are not payments

3. Balancing of services rendered and payments collected

4. Money owed by the provider/practice for services/supplies

5. Services/supplies billed

6. Money owed to the provider/practice for services/supplies

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