Q&A library · compliance-guide
How do I configure split-billing accumulators and account mapping for 340B audits?
Configuring split-billing for 340B compliance requires defining accumulators that tie each eligible encounter to validated medical record data, not just location codes. Entities must also maintain explicit mapping between 340B, GPO, and WAC accounts, documenting reconciliations and showing HRSA auditors complete visibility from charge capture through replenishment.