340B Aggregator

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Does your organization partner with multiple contract pharmacies and use several different 340B TPAs? Don’t worry – you are not alone!

Reduce Complexity
Improve Accuracy
Drive Revenue

Get in touch

Our 30+ years of collective experience working with Covered Entities across the US has proven that there is not a “one-size-fits-all" solution. Partnering with multiple TPAs can make a lot of sense, depending on your situation.

In a multi-TPA scenario, we witness a universal challenge of gaining access to integrated insights and reporting without loss of accuracy, which can lead to decreased financial opportunity and program underperformance.

Get in touch

Our 30+ years of collective experience working with Covered Entities across the US has proven that there is not a “one-size-fits-all" solution. Partnering with multiple TPAs can make a lot of sense, depending on your situation.

In a multi-TPA scenario, we witness a universal challenge of gaining access to integrated insights and reporting without loss of accuracy, which can lead to decreased financial opportunity and program underperformance.

Introducing the
340B Aggregator

Eliminate data silos and draw insights from augmented and normalized data across all 340B pharmacy vendors for centralized auditing and financial reporting.

Multiple TPA Management

All TPA invoices aggregated in a single report

Centralized business intelligence across all pharmacy vendors

Repeatable automated processes across entire health system

Standardized financial reports across all pharmacy vendors

Augmented self-auditing reports across all pharmacy vendors