Net revenue reconciliation for health centers

Reconcile in minutes.
Know why the numbers moved.

Tie your general ledger to your eCW expected revenue. Understand why your revenue is changing.
All in one place — frustration free.

3
days back
every month
Real result

A multi-state health center with roughly $20M in annual revenue cut monthly reconciliation from a multi-day exercise to a single review..

Your month-end today

Your monthly slog.

Days lost to reconciliation
Numbers that don't explain themselves
Answers scattered across systems
Manual entry = real risk
Your month-end with us

Review. Close. Finished.

One review, not days
See what moved from last month and why revenue changed
Every driver in one workbook
No manual entry = no surprises

Your close, tied out — and explained.

Expected net revenue from eCW, reconciled to the general ledger, with the journal entries ready to post and every month-over-month driver quantified.

Valley Steer revenue reconciliation close overview dashboard showing journal entry lines, open A/R, and zero unmapped transactions
Simple, transparent pricing
$999 / month
No implementation fee
No long-term contract
Cancel anytime
Get Started

Getting started is simple.

1

Send once:

payer categories, departments, chart of accounts, adjustment codes.

2

Send monthly:

Your posted journal-entry ledger and GL export. We pull the eCW reports.

3

Get back a journal entry

formatted for your upload, reconciled line by line to your ledger, with every exception named rather than absorbed

Ready to get started?

Enter your phone number or email below and we'll reach out with next steps.