COVID-19: Financial Recovery and Cash Flow Stabilization – Revenue Cycle Perspective
April 23, 2020
Nelson Lowman discussed how organizations are adapting operations to ensure long-term financial viability amid the loss of provider revenue and accompanying cash deterioration caused by COVID-19. The webinar focused on revenue cycle operational enhancements, liquidity management, and other ideas to preserve cash.
Find out more. BRG will present the webinar.