Meridians Logic Automation
Accounting doesn't have to be manual. Meridians automates the tedious work between your billing systems and NetSuite so you can focus on what matters.
| Date | Payer | Amount | Loc |
|---|---|---|---|
| 03/15/25 | ACME_PPO | $4,200.00 | Lakewood |
| ...processing | ... | ... | ... |
NetSuite Journal Entry
Replace manual VLOOKUP workflows with automated mapping rules. Define payer classifications, provider departments, and location codes once — Meridians applies them consistently to every transaction.
Payer Classification
Map payer names to Medicaid, Medicare, Private Insurance, or Self Pay automatically.
Provider-Based Departments
Department follows the billing provider, not the facility. Configured once in mappings.
"All 2,847 transactions passed. JE files generated across all locations."
Every journal entry is validated against the fiscal calendar, balanced to the penny, and organized by location before export. Meridians catches unmapped payers, missing providers, and out-of-balance entries before they reach NetSuite.
Manual entry errors with automated mapping.
Audit trail coverage for every transaction.
Process revenue, payroll, and MSO data in a single workflow. Batch processing handles thousands of transactions across multiple locations and clinic groups simultaneously.
Explore WorkflowChoose the plan that fits your team's scale.
For emerging teams.
For scaling finance teams.
For global operations.
Join finance teams who have automated their journal entry workflows with Meridians.