Claims Compliance Manager
Company: Centivo
Location: Buffalo
Posted on: April 1, 2026
|
|
|
Job Description:
We exist for workers and their employers who are the backbone of
our economy. That is where Centivo comes in our mission is to bring
affordable, high-quality healthcare to the millions who struggle to
pay their healthcare bills. Summary of role: The Compliance Manager
– Health Care Claims serves as the organization's subject matter
expert (SME) on regulatory compliance matters pertaining to
self-funded and level-funded health plan products administered
through our Third Party Administrator (TPA) platform. This role is
responsible for the end-to-end ownership of all mandated compliance
reporting obligations, ensuring timely and accurate delivery to
clients, plan sponsors, and all designated regulatory bodies. The
ideal candidate brings deep operational knowledge of federal health
care compliance requirements and thrives in a fast-paced
environment where regulatory landscapes evolve frequently.
Responsibilities Include: Regulatory Reporting & Filing Own and
execute all CMS Section 111 (MSP) mandatory insurer reporting
obligations, including coordination of data collection, submission,
and error resolution; serve as the primary point of contact for CMS
inquiries related to Section 111 reporting Manage RxDC
(Prescription Drug and Health Care Spending) reporting under the
Consolidated Appropriations Act (CAA), including both D2 Medical
and P2 Medical data files; coordinate with pharmacy benefit
managers (PBMs), stop-loss carriers, and internal teams to compile
and submit accurate annual reports on behalf of plan sponsors
Prepare and submit annual PCORI (Patient-Centered Outcomes Research
Institute) fee filings for applicable self-funded plans, ensuring
accurate calculation of covered lives and timely IRS Form 720
support Maintain a compliance reporting calendar and monitor all
regulatory deadlines; proactively communicate status updates and
filing confirmations to clients and internal stakeholders
Transparency & Disclosure Compliance Administer the Gag Clause
Prohibition Attestation process under the CAA; collect required
data, submit annual attestations to CMS/EEOC on behalf of plan
sponsors, and maintain documentation of compliance Lead
Transparency in Coverage (TiC) compliance efforts, including
oversight of machine-readable file (MRF) production and publication
requirements, and coordination with vendors and clients to meet all
applicable mandates Support the development and maintenance of
Preferred Networks disclosures and related plan document language
to ensure alignment with regulatory standards Assist in the
drafting and review of Summary Plan Descriptions (SPDs) and
Summaries of Benefits and Coverage (SBCs), ensuring all documents
reflect current plan designs, regulatory requirements, and
plain-language standards No Surprises Act (NSA) & IDR Support Serve
as the internal SME on No Surprises Act (NSA) compliance, including
Good Faith Estimate (GFE) requirements, Explanation of Benefits
(EOB) standards, and balance billing protections Manage and
coordinate NSA negotiations for out-of-network claims subject to
the open negotiation process; partner with claims leadership and
legal counsel to support Independent Dispute Resolution (IDR)
proceedings, including submission preparation, documentation, and
tracking of outcomes Fraud, Waste & Abuse (FWA) Management Serve as
a key contributor to the organization's Fraud, Waste & Abuse
program, monitoring claims data for patterns, anomalies, and
indicators of potential FWA activity across self-funded and
level-funded plan populations Coordinate the flagging and
suspension of suspect claims within the claims administration
platform, ensuring appropriate holds, documentation, and
chain-of-custody protocols are followed prior to escalation Liaise
with the FBI, OIG, and other applicable law enforcement or
regulatory agencies when suspected fraud rises to the level
requiring external referral; prepare and submit referral
documentation in accordance with agency requirements and
organizational policy Maintain and distribute FWA activity reports
to clients and appropriate parties, including summary findings,
claim dispositions, and recovery outcomes where applicable
Collaborate with Special Investigations Unit (SIU) resources,
external audit partners, and stop-loss carriers on coordinated
investigations Stay current on common FWA schemes in the health
care claims space (e.g., upcoding, unbundling, phantom billing,
provider fraud rings) and educate internal teams and clients
accordingly Client Advisory & SME Responsibilities Act as the
primary claims compliance resource for clients, brokers, and
consultants on all regulated reporting topics listed above; respond
to inquiries with accuracy and in a timely manner Develop and
deliver client-facing compliance guides, reporting summaries,
deadline calendars, and educational materials to support plan
sponsor understanding and accountability Distribute all required
reports and filings to clients and agreed-upon parties (TPAs,
stop-loss carriers, brokers, CMS, etc.) in accordance with
compliant timelines and contractual obligations Monitor regulatory
guidance from CMS, DOL, IRS, HHS, and other agencies; translate new
requirements into actionable operational procedures for internal
teams and clients Internal Operations & Process Development Build,
document, and continuously improve internal workflows, SOPs, and
controls for each compliance program area Collaborate
cross-functionally with Claims, IT, Account Management, Legal, and
Finance to ensure data integrity and operational readiness for all
compliance deliverables Identify and escalate compliance risks
proactively; recommend corrective action plans as needed Support
audit requests and regulatory examinations related to compliance
reporting programs Qualifications: Required Skills and Abilities: 5
years of experience in health care compliance, with specific
exposure to self-funded and/or level-funded group health plans in a
TPA environment Demonstrated, hands-on expertise with CMS Section
111 reporting, RxDC D2/P2 reporting, Gag Clause Attestation,
TiC/MRF compliance, PCORI filings, and NSA/IDR processes Strong
understanding of ERISA, ACA, HIPAA, and the Consolidated
Appropriations Act (CAA) as they apply to self-insured health plans
Experience drafting or reviewing SPDs and SBCs in compliance with
DOL and ACA requirements Proven ability to manage multiple
concurrent regulatory deadlines with a high degree of accuracy and
accountability Excellent written and verbal communication skills;
able to translate complex regulatory requirements into clear
guidance for clients and non-compliance audiences Proficiency with
Microsoft Office Suite; experience with claims systems and
compliance tracking tools Regulatory Acumen – Maintains current,
working knowledge of federal health care regulations and applies
them operationally Preferred Qualifications: Bachelor's degree in
Health Care Administration, Business, Paralegal Studies, or a
related field; advanced degree or relevant certifications (CEBS,
CHC, CSFS) a plus Familiarity with stop-loss insurance structures
and their interaction with self-funded compliance obligations
Experience working directly with CMS COBSTP/BCRC systems for
Section 111 submissions Experience working Javelina, Health Rules
Payor and/or Ringmaster platforms Prior experience presenting
compliance topics to employer plan sponsors, brokers, or advisory
committees Work Location: This position may either work onsite in
the Buffalo office or remotely Centivo Values: Resilient – This is
wicked hard. There is no easy button for healthcare affordability.
Luckily, the mission makes it worth it and sustains us when things
are tough. Being resilient ensures we don’t give up. Uncommon - The
status quo stinks so we had to go out and build something better.
We know the healthcare system. It isn't working for members,
employers, and providers. So we're building it from scratch, from
the ground up. Our focus is on making things better for them while
also improving clinical results - which is bold and uncommon .
Positive – We care about each other. It takes energy to do hard
stuff, build something better and to be resilient and
unconventional while doing it. Because of that, we make sure we
give kudos freely and feedback with care. When our tank gets low, a
team member is there to be a source of new energy. We celebrate
together. We are supportive, generous, humble, and positive . Who
we are: Centivo is an innovative health plan for self-funded
employers on a mission to bring affordable, high-quality healthcare
to the millions who struggle to pay their healthcare bills.
Anchored around a primary care based ACO model, Centivo saves
employers 15 to 30 percent compared to traditional insurance
carriers. Employees also realize significant savings through our
free primary care (including virtual), predictable copay and
no-deductible benefit plan design. Centivo works with employers
ranging in size from 51 employees to Fortune 500 companies. For
more information, visit centivo.com . Headquartered in Buffalo, NY
with offices in New York City and Buffalo, Centivo is backed by
leading healthcare and technology investors, including a recent
round of investment from Morgan Health, a business unit of JPMorgan
Chase & Co.
Keywords: Centivo, West Seneca , Claims Compliance Manager, IT / Software / Systems , Buffalo, New York