340B for Retail Pharmacies

Benefit from a proven model for managing 340B requirements across your retail pharmacy chain. Our solution works as a compliance double-check that helps 340B third-party administrators (TPAs) ID and exclude Medicaid claims — while also simplifying reporting and financial management for your pharmacy. Since 2011, our model has supported a preferred partnership for the nation’s fourth-largest retail chain.

Forget about the hassles of managing multiple 340B covered entities and administrators. We’ve got a better way!

• Simple, business-as-usual model for covered entities
• Single point of contact eliminates the confusion of communicating with multiple covered entities and 340B TPAs
• Single-source reporting helps you avoid the data problems associated with multiple TPAs
• Streamlined invoicing and financial management
• Optimized inventory management, with central fill, automatic replenishment and remediation with covered entities
• Quick implementation — be live with a simplified approach to 340B program management in as few as 15 business days after data exchange

Key Benefits

  • Proven model
  • No change to covered entities’ and pharmacies’ current procedures
  • Simplified financials and invoicing
  • Single source for data from multiple 340B administrators
  • Central fill
  • Audit support
  • On-site account manager for qualifying pharmacies

  • Fast go-live

Gain 340B program efficiencies
Consolidate data across multiple TPAs
Expand your 340B network with ease