1. Counterchecks statements of account endorsed by the billing section and the out-patient requests for payments
2. Receives and counts cash payments and ensures the negotiability of check payments
3. Receives credit card payments
4. Issues clearance to going-home patients whose bills have been settled
5. Pays the patients or their authorized representatives for refund vouchers of Philhealth claims, excess payment of hospital bills and returned items
6. Pays cash advances and petty cash vouchers
7. Processes reports of collections received, receipts issued and disbursement at the end of the shift or at the close of the day
8. Processes audit report of credit card collections at the close of the day
9. Sees to it that credit card collections have been settled at the close of the day
10. Processes the cashiers’ daily report at the end of the shift or at the close of the day
11. Processes the cash and checks accountability at the end of the shift
12. Endorses the cash collection to the supervisor or to the chief accountant at the close of the day
13. Processes cash and checks deposits and facilitates depositing them during banking days
14. Processes correction of errors and takes steps in recovering underpayments and shortages
15. Takes the first step to inform payor of returned check and follows up its replacement before endorsing to credit and collection section