for healthcare & revenue cycle

The claim is the contract. Aleq is the ledger that knows it.

Aleq is the books for healthcare providers — it recognizes net patient revenue from 837 claims and 835 remittances, posts contractual adjustments under ASC 606, and keeps the revenue cycle tied to the general ledger.

synced from your clearinghouse · 837 / 835 · ties to the ledger
Net patient revenue · livelive
Gross charges$840,000
estimated by payerContractual allowances$(512,000)
Net patient revenue$328,000
Net collection rate96.4%
Net of the constraint · ties to the GLon schedule
The reality today

Gross charges aren't revenue, and the write-offs hide the truth.

Remittances land weeks later with contractual adjustments and denials, and net revenue stays an allowance estimate until the 835 posts.

your stack todaydays lost
Clearinghouse0
837 / 835 filesexported to CSV+1
Excel allowancekeyed by hand+2
NetSuiteweeks late+6
by handreconciled at close+5
a number you can trustday 14
Aleq — one ledger, real-time
day 0DRCash$12,400.00
CRAccounts receivable$12,400.00
balanced · posted day 0 · source: bank line BT-1142
How it works

An 835 posts. Net revenue, trued up.

Claims go out at charge-master rates no payer pays; remittances come back days later with adjustments and denials. Aleq books revenue net of the expected adjustment, then trues up to cash as the 835 settles.

Remittance · 835 · commercial payerderived
1
Read · 837 claim + 835 remittance
Matched the claim to the remittance
Gross charge$4,200
Contracted rate$2,560
Denied linesnone
2
Allowed · contractual adjustment
Booked the allowance by payer
Contractual allowance$(1,640)
Patient responsibility$410
Expected payer payment$2,150
3
Booked · net revenue + true-up
Recognized net of the constraint
DRCash$2,150
DRPatient A/R$410
DRContractual allowance$1,640
CRPatient service revenuegross charge$4,200
Net of the constraint · trued to cashposted
Cash application · lockbox batchapplied overnight
Auto Proven on your books — runs alone, every entry logged and reversible.
Deposit$46,800 · “HVN HLTH PARTNERS”
Split3 open invoices · to the penny
Cash application · lockbox batch

A deposit under a name that isn't on the account still lands — matched by reference, amount, and history, split across the open invoices it covers.

DRCash$46,800
CRPatient A/R3 applications, each traced$46,800
3 applications posted · each traced to its invoice
what Aleq does

The books for healthcare & rcm, run for you.

Aleq is the system of record and the controller that runs it — it does this work autonomously, inside your policy, and signs every move. Not a tool your team feeds; the colleague that closes the books.

built on the standards you live on

It speaks your accounting natively.

The standards and subledgers your model runs on — derived and posted by Aleq, not configured by you.

ASC 606 · Net patient revenue837 claims / 835 remittanceContractual allowancesImplicit price concessionAllowance for bad debtPayer A/R subledger
See it on your own books.We connect read-only and close one of your months, live. Every entry is logged, sourced, and reversible.
FAQ

Questions, answered.

Provider groups typically have a billing system and a general ledger that do not speak: the clearinghouse holds 837 claims and 835 remittances while net revenue on the GL is an allowance estimate maintained in Excel. Aleq is an AI accounting platform that is the books for healthcare providers: it reads 837 claims and 835 remittance advice from your clearinghouse, recognizes net patient revenue under ASC 606, books contractual allowances by payer, ages A/R against the payer that owes it, and ties the whole revenue cycle to the general ledger — with net collection rate, days in A/R, and denial rate derived from posted entries. Read-only connection; live in 48 hours.

Booking revenue off charges, not remittances?

Connect your clearinghouse and bank read-only. In 48 hours Aleq re-recognizes a period from the 835s and ties net revenue to the GL, signed.