Managing a 340B Program requires contracts with multiple vendors. In this webinar, you will learn different ways to analyze Covered Entities' program expenses and tips on how to reduce yours. The 340B Program is about more than just savings or revenue: it is about managing operational expenses. From third-party administrators to a contract pharmacy's dispensing fees, you will learn best practices for review and evaluation of expenses.
Analyze a Contract Pharmacy’s true profitability
Track and compare your TPA Admin fees
Understand dispensing fees and negotiation tips
Avoid overcharges when using Wholesaler Catalog
Identify how other Program Fees may be negatively impacting your program