Contracts Features Available in HTML5. it just makes sense

Size: px
Start display at page:

Download "Contracts Features Available in HTML5. it just makes sense"

Transcription

1 Contracts Features Available in HTML5 it just makes sense August, 2018

2 Contracts Features Available in HTML5 As part of the 5.2 SP1 release, the Contracts functionality is now available in HTML5 and provides the same functionalities that are also available in Silverlight: Contracts Overview Creating Contracts with No Insurance Creating Contracts with Insurance Create Auto Payment Plans Create a Manual Auto Payment Plan Create an OpenEdge (XWeb) Auto Payment Plan Change Contract Amounts Changing the First Monthly Charge Changing All Monthly Charges Updating Contracts Correcting Out of Balance Changing an Auto Payment Date Canceling an Auto Payment Plan Contracts Overview Contracts, also referred to as payment plans, help patients finance orthodontic expenses. Patients with insurance coverage can apply their insurance payment and set up a contract to offset the uncovered expenses. In some cases, patients may have more than one financially responsible individual and be covered by multiple insurance plans. A common example would be children who are covered under their mother and father s insurance. To access the Contract window, click Contracts from the patient s ledger. 1

3 Pre-requisites to creating contracts Before creating contracts, a financially responsible individual must be set up in Cloud9 before creating a contract. And, if a patient has insurance, the insurance plan must also be set up in Cloud9 prior to creating the contract. Pre-requisite #1: Verify financially responsible individual(s) a. From the Home menu, click Edit Patient. b. From the Edit Patient window, click the Relationship tab. c. Verify that True displays under the Financially Responsible column for those individuals responsible for payment. Note: The following graphic indicates that both Sally and Bob Kelly are responsible for payment. If only Sally was responsible, False would display for Bob. d. Do the following: If the financially responsible individual(s) is/are Listed Not listed Then Proceed to creating the contract Click Add to add the missing financially responsible individuals. Pre-requisite #2: Verify insurance a. From the Home menu, click Edit Patient. b. From the Edit Patient window, click the Insurance tab. c. Verify insurance has been entered. If not, then see Add Insurance (Patient Management). 2

4 d. Do the following: If the insurance is Listed for all financially responsible individuals Not listed for each financially responsible individual Then Proceed to creating the contract Click Add to add the missing insurance. 3

5 Creating Contracts with No Insurance When a patient starts a contract and doesn t have insurance, the financially responsible individual section displays in the bottom have of the window. If there are more than one financially responsible individual on the contract, everyone will have their own section. Fields for contract and financially responsible individual sections Field Patient Plan Status Plan Description Description The patient s name the contract is for. The status of the contract plan. The contract description is an optional field. Enter text that describes the plan, Full Braces, Invisalign, etc. 4

6 Field Treatment Fee Charge Type Discount Type Posting Location Expected Contract Start Date Expected First Chg. Treatment Fee Amount Discount Amount Contract Sub-Total Initial CDT Code Payment Plan Totals Plan Amount Start Date Down Payment Description Select the appropriate treatment fee that was created in the transaction type window. The amounts can be overridden in the treatment fee amount field. Select the appropriate discount offered to the patient. These were created in the transaction type window. Select the location desired. If not starting the contract immediately, but the patient wants to take home a financial letter to review, enter in the EXPECTED start date so that the field can be used in a letter template. This date does NOT start the contract. If not starting the contract immediately, but the patient wants to take home a financial letter to review, enter in the first EXPECTED monthly charge date so that the field can be used in a letter template. Fills in automatically based upon your setup selections. You can change this number by highlighting and entering in a different amount. Fills in automatically based upon your setup selections. You can change this number by highlighting and entering a different amount. The contract total after any discounts have been applied. Insurance code that displays on the initial claim form. This code is generated based on the treatment fee charge type selected. Use the lookup button to select a new initial CDT fee code. This field remains red until the plan amount field equals the payment plan sub-total. The payment plan total is the sum of the plan amounts fields. The amount the responsible party is expected to pay. Start date, which automatically fills when the start button is clicked. The amount of money that the responsible party is paying to start treatment. # of Payments The number of payments to complete the plan. Frequency The timeframe of the contract charges. Note: The default day is always the first of the following month. 5

7 Field Future Due Auto Pay this contract Description The total amount remaining that the responsible party is expected to pay after the down payment has been deducted from the plan amount field. This checkbox to designate an autopayment set up. Note: This option is only available after starting a contract. Buttons on the Contract Section Button When clicked Starts the contract Start Saves and closes the contract Close Cancels the contract entries Cancel 6

8 Buttons on Financially Responsible Section Button Calculate Fill Description Performs calculations based on amounts entered on the payment section on the contract Automatically fills selected options from the Fill dialog box: Date; Amount; Auto Pay and Auto Pay Date Currently unavailable Coupons To create a contract without insurance 1. Verify the financially responsible individual(s) have been set up in Cloud9. 2. From the patient s ledger, click Contracts. The Contracts dialog box displays. 3. Click Add. The Contract window displays. 7

9 4. In the Treatment Fee Charge Type field, click Lookup. The Choose a Treatment Fee Charge Type dialog box displays. 5. Select the desired treatment fee charge type and click Select. The corresponding fields automatically fill on the window. 6. If a discount needs to be applied, click Lookup in the Discount Type field, select the desired discount and click Select. The discount amount displays in the Discount Amount field and is applied to the contract sub-total. 7. Do the following: If there Is only one financial responsible individual Then a. In the Plan Amount field under the financially responsible section, enter the amount specified in the Contract Sub-Total field and then click anywhere on the contract. Cloud9 automatically calculates and populates the # of payments field and the charges in the table. Also, the Payment Plan Totals field is filled and no longer red b. In the Down Payment field, enter the amount the responsible individual is going to pay to start treatment and then click anywhere on the contract. Cloud9 automatically adjusts the charge amount based the # of payments. 8

10 If there Then c. In the # of Payments field, adjust the number if the financially responsible individual wants a different # of payments. Cloud9 automatically adjusts the charge amount based the # of payments. d. In the Frequency field, enter the timeframe of the contract charges. Cloud9 automatically adjusts the charge amount based the # of payments. Are more than one financial responsible individual Complete above steps a through d for each additional financially responsible individual. Note: If you are not planning to start the contract but want the patient to take home a financial letter to review, enter the Expected Contract Start Date and the Expected First Monthly Charge Date fields. These fields can be used in letters for the Expected information without starting the contract. 8. Do the following: If you want to Start the contract Then a. Click Start. The Charge Date column is now filled in and many fields cannot be modified. b. Click Close. The contract is started and saved. The contract window closes. NOT start the contract Click Close. The contract is saved, but NOT started. The contract window closes. 9

11 Creating Contracts with Insurance When a contract includes insurance, the insurance section displays on the lower right-hand side of the financially responsible individual section. Insurance Fields The fields for contract and financially responsible individual sections are the same as contracts with insurance. Below are the additional fields for the insurance section. Field Plan Amount Start Date Down Payment Cont. Code Initial checkbox Description The amount the insurance is expected to pay. Start date, which automatically fills when the start button is clicked. The amount of money that the insurance is paying to start treatment. The periodic contract ADA code that displays on the claim form. Checkbox checked if to have an initial claim generated automatically based upon specific dates. 10

12 Field Continuation checkbox Future Due Initial Claim Description Checkbox checked if the insurance company requires continuation of forms generated automatically based upon specific dates. The total amount remaining the insurance is expected to pay after the down payment has been deducted from the plan amount field. The amount displayed on the initial claim. Note: If no amount is specified, the claim form will display $0.00. # of Claims The number future claims that should be automatically generated for the patient. Frequency The designated timeframe for generating the claim monthly; quarterly; semiannually or annually. Buttons on Insurance Section Button Initial Claim When clicked Opens the initial claim and provides opportunity to review it before submission Note: The Initial Claim check box must be checked to see this button. 11

13 Button When clicked Calculates the form and ledger amounts Calculate Fill Automatically fills selected options from the Fill dialog box: Date; Form Amount and Ledger Amount To create a contract with insurance 1. Verify that the responsible parties have been identified as financially responsible. 2. Verify the insurance information has been set up. 3. From the patient s ledger, click Contracts. The Contracts dialog box displays. 4. Click Add. The Contract window displays. 5. In the Treatment Fee Charge Type field, click Lookup. The Choose a Treatment Fee Charge Type dialog box displays. 6. Select the desired treatment fee charge type and click Select. The corresponding fields automatically fill on the window. 12

14 7. If a discount needs to be applied, click Lookup in the Discount Type field, select the desired discount and click Select. The discount amount displays in the Discount Amount field and is applied to the contract sub-total. 8. Under the Insurance ledger, enter the insurance benefit in the Plan Amount field. 9. In the Down Payment field, enter what the insurance company is expected to pay to start treatment. 10. In the Initial Claim field, put the Treatment Fee Amount that displays on the Initial Claim Form. Note: This amount is typically the amount displayed on the Contract Sub-Total field. 11. In the # of Claims field, enter how many claims should be generated. 12. In the Frequency field, select the appropriate frequency of claim submission. The Number of Charges and the Amount are automatically calculated for you based on the selections you made in the Down Payment and # of Payments fields. The Future Due is divided into equal monthly charges. The Payment Plan Totals field displays red as the patient s contract has not yet been filled. 13. Do the following regarding Continuation of Benefits Claim: If the insurance company does Require a Continuation of Benefits Claim Then a. In the first Form Amount cell, enter in the amount you want the claim form to display. For example, If the payment percentage is 50%, double what the amount is in the Ledger Amount column. b. Highlight the line if needed, click Fill. c. Check the Form Amount checkbox. NOT require a Continuation of Benefits Claim d. Click OK. The amount you entered in the first cell is now is all the Form Amount cells. Go to the next step. 14. Do the following regarding Financially Responsible Individual(s) 13

15 If there Is only one financial responsible individual Then a. In the Plan Amount field under the financially responsible section, enter the amount specified in the Contract Sub-Total field minus the Plan Amount under the Insurance section and then click anywhere on the contract. Cloud9 automatically calculates and populates the # of payments field and the charges in the table. Also, the Payment Plan Totals field is filled and no longer red. b. In the Down Payment field, enter the amount the responsible individual is going to pay to start treatment and then click anywhere on the contract. Cloud9 automatically adjusts the charge amount based the # of payments. c. In the # of Payments field, adjust the number if the financially responsible individual wants a different # of payments. Cloud9 automatically adjusts the charge amount based the # of payments. d. In the Frequency field, enter the timeframe of the contract charges. Cloud9 automatically adjusts the charge amount based the # of payments. Are more than one financial responsible individual Complete above steps a through d for each additional financially responsible individual. Note: If you are not planning to start the contract but want the patient to take home a financial letter to review, enter the Expected Contract Start Date and the Expected First Monthly Charge Date fields. These fields can be used in letters for the Expected information without starting the contract. 14

16 15. Do the following: If you want to Start the contract NOT start the contract Then a. Click Start. The Charge Date column is now filled in and many fields cannot be modified. b. Click Close. The contract is started and saved. The contract window closes. Click Close. The contract is saved, but NOT started. The contract window closes. Create an Auto Payment Plan Once a contract has been started, you have the option to create an Auto Payment Plan for the patient. 15

17 There are two ways of auto payments can be set up: Manually; not integrated with Cloud9 for offices not signed up to partner with OpenEdge or OrthoBanc Via OpenEdge (XWeb); fully integrated with Cloud9 IMPORTANT: While auto payments can be set up in HTLML5, you need to process auto payments in Silverlight until this functionality is available in a future HTML5 release. Silverlight: Financial menu > Post Auto Payments. Create a Manual Auto Payment Plan Pre-requisite: The patient s contract needs to be set up and started to have access to the auto pay option for the contract. If your office chooses NOT to sign up to partner with OpenEdge or OrthoBanc, you are still able to post payments all at once. Keep in mind the following important tips: It is your responsibility to get notifications through your credit card or ACH processor s portal if the payment has cleared to post the payments. Remember: If you process payments more than once or twice in a month, this could turn into a very labor-intensive process. The fewer dates you offer to your patients, the less complicated it is for the staff to keep up with. Most offices give the 1 st and 15 th only. If selecting a Manual Auto Payment Plan, you need to go into your processor s portal and enter the payment information, amounts, dates, and whatever else is required by your processor. To create a manual auto payment plan 1. Access the patient s contract: a. Access the patient s ledger. b. Click Contracts. c. Select the contract and click Edit. The patient s contract displays. 2. In the responsible party s section, check Auto Pay this contract. The Select Auto Payment Type dialog box displays. 16

18 Reminder: If you cannot check the Auto Pay this contract checkbox, you must start the contract. 3. In the Provider field, select None. 4. Select Manual. Note: The Post Dated Checks option is used for Canadian offices. 5. Select the Payment Type. 6. Click Save. The Contract window displays with the following updates: The Auto Pay field is populated as same as the Amount field. The Auto Pay Date field is populated with the Charge Date. 17

19 7. In the first row, enter the charge amount in Auto Pay field. 8. Select the Auto Pay Date. 9. Click Fill. The Fill dialog box displays. 10. Check Auto Pay and Auto Pay Date check boxes and keep Date and Amount checked. 18

20 11. Click Fill. Cloud9 automatically fills the remaining Auto Pay and Auto Pay Date fields. 12. Click Close to close and save the contract. Create an OpenEdge (XWeb) Auto Payment Plan Cloud9 is fully integrated with OpenEdge Technologies for setting up Auto Payment Plans. The plan is the same as a manual plan, except: Your practice needs to sign up with OpenEdge for a credit card account, ACH (Automated Clearing House) account or both. If you have both a credit card and ACH account, you need to select the appropriate one based on the patient s preference. Notes: OpenEdge assigns accounts to specific locations but will default to the Cloud9 assigned location listed on the Edit Patient window. If a patient has OpenEdge and their location is changed, Cloud9 prompts you to update the auto payment to the new location. To create OpenEdge (XWeb) auto payment plan Pre-requisite: The patient s contract needs to be set up and started to have access to the auto pay option for the contract. 1. Access the patient s contract: a. Access the patient s ledger. b. Click Contracts. c. Select the contract and click Edit. The patient s contract displays. 19

21 2. In the responsible party s ledger, check Auto Pay this contract. The Select Auto Payment Type dialog box displays. Note: If you cannot check the Auto Pay this contract checkbox, you must start the contract. 3. In the Provider field, select XWeb. The XWeb field automatically displays Practice. 4. Do one of the following: Select the payment type Credit Card Bank Account Then The Set Up Auto Pay dialog box displays. a. Enter the Card Number and Expiration Date. b. Click Submit. The Set Up Auto Pay dialog box displays. a. Enter the Bank Account Number. b. Click Submit. 5. Enter the appropriate information for the credit card or bank account. 6. Click Save. The Contract window displays with the following updates: The Auto Pay field is populated as same as the Amount field. The Auto Pay Date field is populated with the Charge Date. 7. In the first row, enter the charge amount in Auto Pay field. 20

22 8. Select the Auto Pay Date. 9. Click Fill. The Fill dialog box displays. 10. Check Auto Pay and Auto Pay Date and keep Date and Amount checked. 11. Click Fill. Cloud 9 automatically fills the remaining Auto Pay and Auto Pay Date fields. 12. Click Close to close and save the contract. 21

23 Change Contract Amounts After the contract has been started, patients may want to change one monthly charge amount or all monthly charge amounts. Changing the First Monthly Charge If a patient wants to pay a larger amount the first month, you can easily change that one monthly charge. As a result, the balance of the charges is to be paid at a slightly reduced amount. 1. From the patient s contract, enter the monthly amount in the Amount field on the first row. 2. Select the row and click Fill. The Fill dialog box displays. 3. Make sure the Date and Amount checkboxes are checked. Note: If this contract has autopayment, also check the Auto Pay and Auto Pay Date checkboxes. 4. Click Fill. Cloud9 automatically calculates the new # of payments and updates the number of charge rows. 22

24 5. Click Close to close and save the contract. Changing All Monthly Charges If a patient decides that they want to pay a different monthly amount, you can adjust the monthly payment amount. For example, the patient decides to pay a higher amount each month to pay off their contract quicker. 1. From the patient s contract, enter the new monthly amount in the Amount field on the first row. 2. Select the row and click Fill. The Fill dialog box displays. 3. Make sure the Date and Amount checkboxes are checked; if this contract has autopayment, also check Auto Pay and Auto Pay Date checkboxes. 23

25 4. Click Fill. Cloud9 automatically calculates the new # of payments, updates the number of charge rows and fills in the new amount for each charge. 5. Click Close to close and save the contract. 24

26 Updating Contracts Once contracts are started, you may need to make the following updates: Correct an out of balance between the future due and the sum of future transactions Change a payment date Cancel autopayment Correcting Out of Balance Contracts are out of balance when the Future Due amount does NOT equal the Sum of Future Transactions for a specific financially responsible individual or insurance. You receive a warning message when the contract is out of balance. After clicking OK, the contract window displays as red. 25

27 Example: Due Now shows $0.00, Future Due is $0.00 and the Total Due $376.00, but it should be a $0.00 Total Due. You'll want to start a Contract Balance Adjustment and put a ($376.00) amount in the Due Now field to adjust the Total Due to $ Determine what the correct ledger balance should be. 2. Complete a contract balance adjustment. Cloud9 updates the ledger to reflect the adjustment and the Contract window is no longer red. Notes: The Contract Adjustment value may be a positive or negative amount. A negative amount to indicate a credit, such as an overcharge. A positive amount to indicate a debit, such as an undercharge. In the Comment field, provide an explanation of the adjustment; e.g., Fixing contract out of balance. This is a required field. 26

28 Changing an Auto Payment Date If your practice processes auto payments on certain days of the month, you may need to update the auto pay dates to be consistent. You can change the Auto Pay Date to match a day when your practice processes the auto payments. 1. From the patient s Contract, select the row of the charge that you want to update from that point on until the end of the contract. The row is highlighted. 2. Enter the new date in the Auto Pay Date column. 3. Click Fill. The Fill dialog box displays. 4. Check the Auto Pay Date checkbox. 27

29 5. Click Fill. Cloud9 updates the Auto Pay Dates after the charge row with the updated Auto Pay Date. 6. Click Close to close and save the contract. Canceling an Auto Payment Plan If you make a mistake on an auto payment plan, you can cancel that plan and start a new plan. 1. From the Contract window, uncheck the Auto Pay this contract checkbox. Cloud9 clears out the content in the Auto Pay and Auto Pay Date fields. 2. Check the Auto Pay this contract checkbox. The Select Auto Payment Type dialog box displays. 3. Continue setting up the contract. 4. Once the new contract is set up, click Close to close and save the contract. 28

Financial Arrangements/Fee Schedules

Financial Arrangements/Fee Schedules it just makes sense Summary This Feature Summary will be divided into four sections, Financial Arrangements Fee Schedules Financial Arrangement Document Template Financial Arrangement Questionnaires Each

More information

X-Charge Credit Card Processing

X-Charge Credit Card Processing X-Charge Credit Card Processing OpenEdge (Formerly X-Charge) Payment Processing Setup... 1 Setting Permissions for Credit Card Processing... 1 Setting Up X-Charge Payment Processing in SuccessWare 21...

More information

Recurring Payments CitiDirect BE SM

Recurring Payments CitiDirect BE SM Recurring Payments CitiDirect BE SM A Simple, Easy Way to Schedule Recurring Payments User Guide Treasury and Trade Solutions Recurring Payments CitiDirect BE Table of Contents Table of Contents 1. Overview

More information

Independent Sales Associate Direct Deposit Administration User Guide

Independent Sales Associate Direct Deposit Administration User Guide Independent Sales Associate Direct Deposit Administration User Guide 1 Contents Direct Deposit Administration... 3 Accessing Direct Deposit Admin for First Time Users... 3 Setting Up a New Bank Account...

More information

Creating and Assigning Targets

Creating and Assigning Targets Creating and Assigning Targets Targets are a powerful reporting tool in PortfolioCenter that allow you to mix index returns for several indexes, based on the portfolio s asset class allocation. For example,

More information

Vision Computer Programming Services, Inc nd S N, Suite A Safety Harbor, FL

Vision Computer Programming Services, Inc nd S N, Suite A Safety Harbor, FL Vision Computer Programming Services, Inc. 801 2 nd S N, Suite A Safety Harbor, FL 34695 888-425-6964 email@visioncps.com www.visioncps.com How to use Auto-Billing in Member Tracking Auto-Billing in Member

More information

ENTERING AUTOMOBILE FRINGE IN A SEPARATE PAYROLL: EMPLOYEE PAYING TAXES

ENTERING AUTOMOBILE FRINGE IN A SEPARATE PAYROLL: EMPLOYEE PAYING TAXES ENTERING AUTOMOBILE FRINGE IN A SEPARATE PAYROLL: EMPLOYEE PAYING TAXES When calculating automobile fringe, you have the option to do so in a payroll cycle separate from your normal payroll. If you choose

More information

Office of Sponsored Research Budget Revision Form Instructions and Field Definitions

Office of Sponsored Research Budget Revision Form Instructions and Field Definitions Budget Revision Form Instructions and Field Definitions Table of Contents Example Form 1 Part 1 General Information 2 Project Specific Information Submitter Information Part 2 Indirect Costs 2 Identifying

More information

Radian Mortgage Insurance

Radian Mortgage Insurance LOS Interface Administrator/User Guide Radian Mortgage Insurance 2012 PCLender, LLC Contents Introduction... 3 Interface Features... 3 Interface Requirements... 3 Interface Considerations... 4 How Does

More information

GL Budgets. Account Budget and Forecast. Account Budgets and Forecasts Menu

GL Budgets. Account Budget and Forecast. Account Budgets and Forecasts Menu Account Budget and Forecast The Account Budget and Forecast function allows you to enter and maintain an unlimited number of budgets and/or forecasts values and types. When setting up the account budgets

More information

14. Roster Processing

14. Roster Processing 14. Roster Processing Plan processing Roster processing Roster processing roster list You can create rosters by entering data manually or by using the file import capability. If you want to create the

More information

Accounts Receivables Accruals

Accounts Receivables Accruals Accounts Receivables Accruals For FY16 June 16, 2016 Information Technology Understanding the Accrual Process The goal of year-end accrual process is to recognize revenues and expenses in the period in

More information

FMS Account Summary Inquiry View Budget Information

FMS Account Summary Inquiry View Budget Information FMS Account Summary Inquiry View Budget Information Account Summary Inquiry The Account Summary Inquiry (ASI) in our Financial Management System (FMS) displays budget, expenditure, encumbrance, and available

More information

Accounts Receivables Accruals

Accounts Receivables Accruals Accounts Receivables Accruals For FY13 June 14, 2013 Sonoma County of Education Information Technology References: 13.02 Release: Finance Processes Year End Closing Chapter 5 AR Invoices (see pages 5-18

More information

Budget Workbook for Agencies Job Aid

Budget Workbook for Agencies Job Aid Budget Workbook for Agencies Job Aid The process flow below outlines the steps which need to be completed in order for the Budget Definition to become a Budget Contract. Agency Supplier Budget Definition

More information

How to Write off Bad Debt in ServiceTitan and QuickBooks (Desktop)

How to Write off Bad Debt in ServiceTitan and QuickBooks (Desktop) How to Write off Bad Debt in ServiceTitan and QuickBooks (Desktop) Who should use this guide: Accountant Anyone in the office responsible for QuickBooks setup or exporting to QuickBooks. Overview During

More information

ACS YEAR-END FREQUENTLY ASKED QUESTIONS. General Ledger

ACS YEAR-END FREQUENTLY ASKED QUESTIONS. General Ledger ACS YEAR-END FREQUENTLY ASKED QUESTIONS This document includes answers to frequently asked questions about the following ACS modules: General Ledger Payroll Accounts Payable Accounts Receivable General

More information

Bond Amortization. amortization schedule. the PV, FV, and PMT functions. elements. macros

Bond Amortization. amortization schedule. the PV, FV, and PMT functions. elements. macros 8 Bond Amortization N LY O LEARNING OBJECTIVES a bond amortization schedule Use the PV, FV, and PMT functions Protect worksheet elements Automate processes with macros A T IO N Create E V A LU Financial

More information

Accounts Receivables Accruals

Accounts Receivables Accruals Accounts Receivables Accruals For FY18 June 20, 2018 Information Technology Understanding the Accrual Process The goal of year-end accrual process is to recognize revenues and expenses in the period in

More information

Finance Self Service Financial Systems

Finance Self Service Financial Systems Finance Self Service Financial Systems Finance Self Service Financial Systems 2008 University of North Florida Center for Professional Development & Training 1 UNF Drive, Jacksonville, Fl 32224 904.620.1707

More information

Associated Connect. Reference Guide: Quick Payments

Associated Connect. Reference Guide: Quick Payments Associated Connect Reference Guide: Quick Payments Page 2 of 14 Quick Payments Use the Quick Payments service to send, save and manage your ACH payments. Depending on your configuration, you can use Quick

More information

Quick Topic - Comp/Banking/Flex Time/Accruals Based on Hours Worked

Quick Topic - Comp/Banking/Flex Time/Accruals Based on Hours Worked Quick Topic - Comp/Banking/Flex Time/Accruals Based on Hours Worked Title: Comp Time (Banking Time) Brief description: Many companies use Comp Time as a form of allowing employees to earn and take leave.

More information

CitiDirect WorldLink Payment Services

CitiDirect WorldLink Payment Services CitiDirect WorldLink Payment Services User Guide June 2009 3 Contents Overview 2 Additional Resources 2 Basics Guides 2 Online Help 2 CitiDirect Customer Support 2 Sign on to CitiDirect Online Banking

More information

Checkbook Table of Contents. Receive Money Overview Spend Money Overview

Checkbook Table of Contents. Receive Money Overview Spend Money Overview Checkbook Table of Contents Receive Money Overview Spend Money Overview Changing Receive Money transactions To change a Receive Money transaction To change a recurring Receive Money template's name or

More information

guide to the online contribution tool

guide to the online contribution tool guide to the online contribution tool Take advantage of your Retirement Plan. Making your plan contributions online is easy with the online contributions tool on the Members Retirement Program s employer

More information

PPO Fee Schedules Setup

PPO Fee Schedules Setup PPO Fee Schedules Setup Go to Lists Fee Schedules New. Select Create Fee Schedule By: Individually Setting Up Service Codes. Manually add the code and then add the allowable fee, matching the fee schedule

More information

Accounts Receivables Accruals

Accounts Receivables Accruals Accounts Receivables Accruals For FY14 June 18, 2014 Information Technology References: 14.02 Release: Finance Processes Year End Closing Chapter 5 AR Invoices (see pages 5-19 to 5-24) Home Page Help from

More information

SmartFusion FYE: Payroll Accruals

SmartFusion FYE: Payroll Accruals INTRODUCTION Disclaimer: This handout assumes that Fund Ledger and Payroll modules have completely been closed out for the fiscal year. If you have not closed any modules yet but need to do payroll accruals,

More information

M Y F I N A N C E H O W T O

M Y F I N A N C E H O W T O U S S F C U P E R S O N A L F I N A N C I A L M A N A G E M E N T M Y F I N A N C E H O W T O CONTENTS Overview..2 Getting Started... 2 Dashboard... 4 Accounts... 6 Adding an External Online Account...

More information

Additional Medicare Tax User Guide for QuickBooks

Additional Medicare Tax User Guide for QuickBooks Additional Medicare Tax User Guide for QuickBooks Beginning tax year 2013, a new Additional Medicare Tax (a provision of the Affordable Care Act) of 0.9 percent applies to individuals Medicare taxable

More information

Creating and Monitoring Defined Contribution Plans in Advisor Workstation

Creating and Monitoring Defined Contribution Plans in Advisor Workstation Creating and Monitoring Defined Contribution Plans in Advisor Workstation Disclaimer - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 1 Overview - - - - - - - - - - - - - - - -

More information

Member Access Manual. Contents. Registration Process Logging In Making a Donation Donation History Account Information

Member Access Manual. Contents. Registration Process Logging In Making a Donation Donation History Account Information Manual Contents Registration Process Logging In Making a Donation Donation History Account Information This is the first screen you will see as a new user, and for future logins. First time users must

More information

All About the General Ledger

All About the General Ledger All About the General Ledger Overview In a typical month the main functions under the GL menu (General Ledger) you will use are to verify receipts entered and record them onto deposit slips, reconcile

More information

TRAVEL PORTAL INSTRUCTIONS

TRAVEL PORTAL INSTRUCTIONS TRAVEL PORTAL INSTRUCTIONS Date: June 22, 2018 Version: Version 3.1 Prepared By: Berkley Canada Table of Contents 1 ACCESSING THE PORTAL... 3 1.1 LOGIN & LOGOUT... 3 1.2 RESET YOUR PASSWORD... 3 2 THE

More information

Budget - By Salesperson

Budget - By Salesperson Budget - By Salesperson Entering a budget is easy. Follow these five steps to get started. Version 2013.12.21.01 1 Create a template. Before you can enter a budget, you first need to create a template.

More information

Set Up and Generate Payroll Direct Deposits (Canada)

Set Up and Generate Payroll Direct Deposits (Canada) Set Up and Generate Payroll Direct Deposits (Canada) Direct deposits in Sage 300 CRE is a process by which you generate a text file to electronically submit to your bank(s) as well as print notifications

More information

Re: The Broker s Workstation and The Underwriter s Workstation Important Releases and Changes

Re: The Broker s Workstation and The Underwriter s Workstation Important Releases and Changes 23 March 2016 To: Users of The Broker s Workstation and/or The Underwriter s Workstation Dear Valued Client: Re: The Broker s Workstation and The Underwriter s Workstation Important Releases and Changes

More information

Global Transaction Banking Products & Services. Business Tax Payment Service

Global Transaction Banking Products & Services. Business Tax Payment Service Global Transaction Banking Products & Services Business Tax Payment Service November 2016 Table of Contents Introduction to Scotiabank s Business Tax Payment Service... 3 Service Overview... 3 Registration

More information

Viive 5.2 QUICK START GUIDE MAC-VIIVE

Viive 5.2 QUICK START GUIDE MAC-VIIVE Viive 5.2 QUICK START GUIDE 1-855-MAC-VIIVE ii Contents PUBLICATION DATE January 2016 COPYRIGHT 2016 Henry Schein, Inc. All rights reserved. No part of this publication may be reproduced, transmitted,

More information

Arkansas State University Banner Finance Self-Service

Arkansas State University Banner Finance Self-Service Arkansas State University Banner Finance Self-Service Contents Self Service Menu... 2 Approving Documents... 3 Viewing Documents... 5 Budget Transfers... 7 Multiple-Line Budget Transfers... 9 Budget Queries...

More information

PROFITstar November PROFITstar Budget Manager Reference Guide. Hosted Version

PROFITstar November PROFITstar Budget Manager Reference Guide. Hosted Version Table of Contents Welcome to Budget Manager... 1 Budget Administrators... 2 Prerequisites for Completing a Budget... 2 Exporting Data... 2 User Setup and Permissions... 4 Fixed Asset Setup...10 Open Budget

More information

Credit Card Processing Guide

Credit Card Processing Guide Credit Card Processing Guide A Guide For Processing Transactions With The Integrity Edge Software I Integrity Credit Card Processing Table of Contents Part I Credit Card Processing Setup 1 Part II Credit

More information

NetTeller Online Financial Management (OFM)

NetTeller Online Financial Management (OFM) NetTeller Online Financial Management (OFM) Contents About This Manual... Error! Bookmark not defined. Overview...1 Getting Started...1 Dashboard...3 Accounts...5 CashEdge Adding an Online Account... 7

More information

Deduction Codes Configure Company

Deduction Codes Configure Company A deduction code is a code or abbreviation used in payroll in order to code amounts that are deducted from an employee s pay. In this system, users will be able to configure deduction codes in order to

More information

How to Journalize using Data Entry

How to Journalize using Data Entry Steps Essential to Success 1. Print a copy of the Problem you intend to complete. To do so, go to the software log-in page and click on Download Student Manual button, click on the Problem to open it.

More information

The following Key Features describe important functions in the Account and Loan Transfer service.

The following Key Features describe important functions in the Account and Loan Transfer service. Account and Loan Transfer The Account Transfer service makes moving funds between accounts secure and simple. The user will find processing Multi-Entry Transfers and defining Recurring Transfers as easy

More information

Developer Instructions for the Developer Spreadsheet for Construction Draw Version Last Updated 10/01/2014

Developer Instructions for the Developer Spreadsheet for Construction Draw Version Last Updated 10/01/2014 Developer Instructions for the Developer Spreadsheet for Construction Draw Version 1.02.65 Last Updated 10/01/2014 Developer Spreadsheet for Construction Draw Page 1 of 25 Table of Contents Overview...

More information

Reference Document. Customer Refunds

Reference Document. Customer Refunds Document Overview This document is being provided to explain how to generate a refund check to a customer. This document explains the process, setup involved and how the transaction affects the general

More information

Customer Refunds. Reference Guide For Versions Last Revised: December 29, SedonaOffice

Customer Refunds. Reference Guide For Versions Last Revised: December 29, SedonaOffice Reference Guide For Versions 5.7.24+ Last Revised: December 29, 2015 SedonaOffice 8401 Chagrin Blvd. Suite 15B 45185 Joy Road Chagrin Falls, OH 44023 Canton, MI 48187 440.247.5602 Table of Contents About

More information

Quick Reference Guide: General Budget Change

Quick Reference Guide: General Budget Change Quick Reference Guide: General Budget Change In the USC Kuali system, every type of transaction is created and submitted in the form of an electronic document referred to as an edoc. The Kuali Financial

More information

SSIS Data Entry of CW-TCM: Child Welfare Targeted Case Management

SSIS Data Entry of CW-TCM: Child Welfare Targeted Case Management SSIS Data Entry of CW-TCM: Child Welfare Targeted Case Management CW-TCM Eligibility Child Welfare Targeted Case Management (CW-TCM) funds pay for a portion of qualifying children s services if specific

More information

How to do Month End Closing

How to do Month End Closing How to do Month End Closing Access: Option 1: Desktop > Accounting Icon > Account Transactions > Option 2: Desktop > Accounting (on toolbar) > Operations > Account Transactions > Click on the Closing tab.

More information

Title: Policy Info & Rates

Title: Policy Info & Rates Title: Policy Info & Rates To access and modify the Title section, some basic information must be provided. The required sections vary based on the underwriter selected. Qualia prompts the user to enter

More information

Importing Historical Returns into Morningstar Office

Importing Historical Returns into Morningstar Office Importing Historical Returns into Morningstar Office Overview - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 1 What are historical returns? - - - - - - - - - - - - - - - -

More information

Payment Portal Registration Quick Guide

Payment Portal Registration Quick Guide Payment Portal Registration Quick Guide Paying your rent is fast and easy with Invitation Homes online portal! Step 1: To register online and create your account, visit www.. Hover over the Current Residents

More information

Understanding your ChiroTouch-Generated CMS 1500 Health Insurance Claim Form

Understanding your ChiroTouch-Generated CMS 1500 Health Insurance Claim Form Understanding your ChiroTouch-Generated CMS 1500 Health Insurance Claim Form Click on any box on the claim form below for a guide to entering this information into ChiroTouch. ChiroTouch cannot advise

More information

Accounting with MYOB Accounting Plus v18. Chapter Four Accounts Payable

Accounting with MYOB Accounting Plus v18. Chapter Four Accounts Payable Accounting with MYOB Accounting Plus v18 Chapter Four Accounts Payable Recording a Purchase Important Points A Purchase is obtaining goods for re-sale. Purchases are obtained from Suppliers. Amounts owed

More information

Morningstar Office User Manual: Handling Warnings in Transactional Accounts

Morningstar Office User Manual: Handling Warnings in Transactional Accounts Morningstar Office User Manual: Handling Warnings in Transactional Accounts This document provides a list of warning messages you might encounter when generating reports and provides recommended actions

More information

Web-Based Budgeting Departmental User Manual

Web-Based Budgeting Departmental User Manual North Dakota State University Web-Based Budgeting Departmental User Manual PeopleSoft Web-Based Budgeting (WBB) 4-18-2018 Web Based Budgeting Departmental Operating Budget Entry for Non-Appropriated Funds

More information

MMF Investment Policy Management

MMF Investment Policy Management MMF Investment Policy Management Citibank Online Investments Transaction Services MMF Investment Policy Management Table of Contents Table of Contents Money Market Funds Investment Policy Management...2

More information

Understanding Tax Codes in Simply Accounting

Understanding Tax Codes in Simply Accounting Understanding Tax Codes in Simply Accounting www.prismbusinesstraining.com Understanding the Taxes and Tax Codes The tax code settings in Simply Accounting are found in the Setup menu on Simply s home

More information

Opening an Account on Schwab Retirement Center

Opening an Account on Schwab Retirement Center Opening an Account on Schwab Retirement Center (With the ability to request and review 408(b)(2) Fee Disclosure Reports) For Charles Schwab Trust and Custody Services Opening an Account/Requesting 408(b)(2)

More information

Perform this procedure to plan adjustments to the unrestricted budget either during the Annual Development or during a Quarterly Confirmation cycle.

Perform this procedure to plan adjustments to the unrestricted budget either during the Annual Development or during a Quarterly Confirmation cycle. Introduction Process and Trigger Perform this procedure to plan adjustments to the unrestricted budget either during the Annual Development or during a Quarterly Confirmation cycle. Prerequisites Budget

More information

Zonta International District 15 QuickBooks Tips Fall Conference 2017

Zonta International District 15 QuickBooks Tips Fall Conference 2017 1 Objectives a Walk through QuickBooks Features b Questions and answers Zonta International District 15 QuickBooks Tips Fall Conference 2017 2 Intuit QuickBooks a Desktop Pro b 2018 supported through May

More information

What's new in Invest for Excel 3.6

What's new in Invest for Excel 3.6 What's new in Invest for Excel 3.6 Microsoft Excel versions supported... 2 Russian user manual... 2 Digitally signed program code... 2 Template folders... 2 Goodwill depreciation tax-deductibility option...

More information

Viewing Fees. PATH: Portal > Family > Payments

Viewing Fees. PATH: Portal > Family > Payments PATH: Portal > Family > Payments The Payments tool allows users to make online payments for fees and/or deposit money into food service accounts for members of a household. If this feature is used by a

More information

Lodging vendors filing a tax return via WYIFS (Wyoming Internet Filing System)

Lodging vendors filing a tax return via WYIFS (Wyoming Internet Filing System) Lodging vendors filing a tax return via WYIFS (Wyoming Internet Filing System) Contents Logging in... 2 Selecting the tax type... 3 Selecting the correct license... 4 Selecting the filing ID... 5 Completing

More information

PriceMyLoan.com Lender AE Guide. Revision 0707

PriceMyLoan.com Lender AE Guide. Revision 0707 PriceMyLoan.com Revision 0707 PriceMyLoan INTRODUCTION... 3 CUSTOMER SUPPORT... 3 VIEWING LOAN SUBMISSIONS... 4 AUTOMATIC EMAIL NOTIFICATIONS... 5 PRICING ENGINE COMMON SCENARIOS... 6 Running the LPE on

More information

Officeweb Adviser Charging. User Guide

Officeweb Adviser Charging. User Guide Officeweb Adviser Charging User Guide 1 INTRODUCTION... 3 PROVIDER FACILITATED CHARGE... 4 How to add a Provider Facilitated Charge Initial Fee... 4 How to add a Provider Facilitated Charge - On-Going

More information

Appendix C: Budget Checking Messages

Appendix C: Budget Checking Messages Appendix C: Budget Checking Messages C Investigating Budget Control Exceptions........... 314 Budget Checking Errors.................. 319 Page 313 Appendix C: Budget Checking Messages Investigating Budget

More information

Make sure the client aged receivables balance to the general ledger total. Write off client balances. Pick a date that makes sense: a. b. c. d.

Make sure the client aged receivables balance to the general ledger total. Write off client balances. Pick a date that makes sense: a. b. c. d. Overview This document provides conversion tips and instructions for entering client and general ledger beginning balances Entering beginning balances in Nexsure entails bringing balances forward from

More information

Atradius Atrium. July version 3.0. Atradius Atrium. User manual. Atradius Atrium - User Manual Version 3.0

Atradius Atrium. July version 3.0. Atradius Atrium. User manual. Atradius Atrium - User Manual Version 3.0 July 2018 - version 3.0 User manual 1 - User Manual Version 3.0 Drive your business forward with powerful, easy-to-use credit management tools is the Atradius online platform, which offers you one place

More information

VetXML - eclaims. New Feature Documentation

VetXML - eclaims. New Feature Documentation VetXML - eclaims New Feature Documentation P a g e 1 What does it do? VetXML is now fully integrated with Voyager. VetXML is a communication standard to make it easier for the veterinary profession to

More information

FREQUENTLY ASKED QUESTIONS

FREQUENTLY ASKED QUESTIONS General Questions: Questions 1. How should store sites be named? 2. How do I get help? 3. How to request consultant/vendor access? 4. How to request FBO Vendor access? 5. How do I delete a project? Responses

More information

Perform this procedure to plan adjustments to the unrestricted budget either during the Annual Development or during a Quarterly Confirmation cycle.

Perform this procedure to plan adjustments to the unrestricted budget either during the Annual Development or during a Quarterly Confirmation cycle. Introduction Process and Trigger Perform this procedure to plan adjustments to the unrestricted budget either during the Annual Development or during a Quarterly Confirmation cycle. Prerequisites Budget

More information

Processing Customer Credit Memos and Refunds

Processing Customer Credit Memos and Refunds Processing Customer Credit Memos and Refunds If a job completed for a customer requires the processing of a refund or credit you can create a credit memo for the customer that will be reflected on the

More information

Maintaining Budget Change Requests

Maintaining Budget Change Requests Maintaining Budget Change Requests This document describes the functions used in TEAMS to enter and approve requests to move funds from one General Ledger account to another. In this document: Request

More information

Quick Reference Guide Welcome TEST USER

Quick Reference Guide Welcome TEST USER Welcome TEST USER HELP RETIREMENT MANAGER DEMO FEEDBACK VersionS_000 Getting Started This Retirement Manager participant website Quick Reference Guide will assist you to easily navigate and complete important

More information

Chapter 8 Sunrise ibais User Manual BA Insurance Systems

Chapter 8 Sunrise ibais User Manual BA Insurance Systems Chapter 8 Sunrise ibais User Manual BA Insurance Systems Chapter 8 Table of Contents CHAPTER 8 - SUNRISE... 8-1 CONFIGURATION... 8-1 Before you Start... 8-1 SUNRISE PROCESSING... 8-2 Processing a Sunrise

More information

IFS Year End Training 2017 Closing the Year

IFS Year End Training 2017 Closing the Year Important Facts About Closing A Year On IFS The following is a summary of important facts to know about closing a year in the Integrated Financial System. * Vouchers that are transferred to Accounts Payable

More information

Human Capital Management: Step-by-Step Guide

Human Capital Management: Step-by-Step Guide Human Capital Management: Step-by-Step Guide Creating a Funding Entry This guide describes the process for creating a funding entry in HCM. Funding is required for all active positions with incumbents

More information

ShelbyNext Financials: Credit Card Tracking (Course #N211)

ShelbyNext Financials: Credit Card Tracking (Course #N211) ShelbyNext Financials: Credit Card Tracking (Course #N211) Presented by: Dave Heston Shelby Consultant 2017 Shelby Systems, Inc. Other brand and product names are trademarks or registered trademarks of

More information

PELICAN: Financial Management Training Guide

PELICAN: Financial Management Training Guide Version 1.1 Version 1.1 Version 5.0 Revision Date: 01/2018 PELICAN: Financial Management Training Guide Office of Child Development and Early Learning (OCDEL) COMMONWEALTH OF PENNSYLVANIA Contents Financial

More information

HandDA program instructions

HandDA program instructions HandDA program instructions All materials referenced in these instructions can be downloaded from: http://www.umass.edu/resec/faculty/murphy/handda/handda.html Background The HandDA program is another

More information

Making an Online Payment

Making an Online Payment Making an Online Payment PATH: Portal > Family > Payments The Payments tool allows Portal users to make online payments to fees and/or food services incurred by members of a household. If this feature

More information

Making an Online Payment

Making an Online Payment Making an Online Payment Viewing Fees Fee Payments Optional Fee Payments Deposit Money into a Food Service Account Printing Account Details PATH: Portal > Family > Payments The Payments tool allows users

More information

Managing Fee Schedules

Managing Fee Schedules Managing Fee Schedules What is a Fee Schedule? A list of fees (other than standard fees ) for services Most commonly used to post PPO allowable fees Why use a Fee Schedule? True estimates on Walkouts and

More information

Region IV RMIC. SMART HR Retiree and COBRA Insurance Setup & Processing

Region IV RMIC. SMART HR Retiree and COBRA Insurance Setup & Processing Region IV RMIC SMART HR Retiree and COBRA Insurance Setup & Processing Revised May 2009 Contents COBRA Checklist... 3 Retiree and COBRA Insurance Processing in SMART HR... 4 Coverage Continuation Notices

More information

Budget Workbook for Agencies Core-CT Finance Upgrade Implementation. March 2018

Budget Workbook for Agencies Core-CT Finance Upgrade Implementation. March 2018 Budget Workbook for Agencies Core-CT Finance Upgrade Implementation March 2018 Introduction Budget Workbook for Agencies Welcome to the Budget Workbook Training Introductions o Introduce yourself, your

More information

Lender Connect Collaboration

Lender Connect Collaboration Lender Connect Collaboration When working in files that were originated via RealEC/Closing Insight, the Lender will send over a Closing product with Event Code 431 - Closing Instructions. Below provides

More information

P&C Rate Data Collection and Management System. PCRDCMS Rate Collection User Manual

P&C Rate Data Collection and Management System. PCRDCMS Rate Collection User Manual State of Florida Department of Financial Services Office of Insurance Regulation P&C Rate Data Collection and Management System (PCRDCMS) PCRDCMS Rate Collection User Manual Author: Vendor: Version: Jon

More information

Bank Reconciliation Processing SYSTEM ADMINISTRATION AND PROCESSING GUIDE. Last revised: 8/19/10 12:22 PM

Bank Reconciliation Processing SYSTEM ADMINISTRATION AND PROCESSING GUIDE. Last revised: 8/19/10 12:22 PM Bank Reconciliation Processing SYSTEM ADMINISTRATION AND PROCESSING GUIDE Last revised: 8/19/10 12:22 PM New World Systems 1 CONTENTS Contents... 1 Introduction... 3 System Administrator Guide... 4 Company

More information

Master User Manual. Last Updated: August, Released concurrently with CDM v.1.0

Master User Manual. Last Updated: August, Released concurrently with CDM v.1.0 Master User Manual Last Updated: August, 2010 Released concurrently with CDM v.1.0 All information in this manual referring to individuals or organizations (names, addresses, company names, telephone numbers,

More information

LENDER SOFTWARE PRO USER GUIDE

LENDER SOFTWARE PRO USER GUIDE LENDER SOFTWARE PRO USER GUIDE You will find illustrated step-by-step examples in these instructions. We recommend you print out these instructions and read at least pages 4 to 20 before you start using

More information

NextGen Trustee Receipting

NextGen Trustee Receipting NextGen Trustee Receipting This class will cover Miscellaneous and Property Tax receipting. We will review the receipting processes as well as how to properly handle corrections for receipts entered with

More information

Rev 7/20/2015. ClaimsConnect Rejection Guide

Rev 7/20/2015. ClaimsConnect Rejection Guide ClaimsConnect Rejection Guide Helper Client, The purpose of this document is to assist you in accelerating the resolution of claim rejections. We have identified the most frequent rejection messages, and

More information

Claims. Chapter 11. Adding a Claim. HOW to Add a Claim. Nexsure Training Manual - CRM. In This Chapter

Claims. Chapter 11. Adding a Claim. HOW to Add a Claim. Nexsure Training Manual - CRM. In This Chapter Nexsure Training Manual - CRM Claims In This Chapter Adding a Claim Populating the Claim form Tracking the Claim Delivering the Claim form Closing and Reopening the Claim Adding a Claim When a claim is

More information

SPECIAL FEATURES AND RECENT CHANGES

SPECIAL FEATURES AND RECENT CHANGES SPECIAL FEATURES AND RECENT CHANGES START This PDF will briefly show you some special features and recent changes to Asset Keeper Pro. SPECIAL FEATURES AND RECENT CHANGES Page 1 TRADE MORE THAN ONE ASSET

More information

Commissions. Version Setup and User Manual. For Microsoft Dynamics 365 Business Central

Commissions. Version Setup and User Manual. For Microsoft Dynamics 365 Business Central Commissions Version 1.0.0.0 Setup and User Manual For Microsoft Dynamics 365 Business Central Last Update: August 14, 2018 Contents Description... 3 Features... 3 Commissions License... 3 Setup of Commissions...

More information

Credit Card set up and processing.

Credit Card set up and processing. Credit Card set up and processing. This lesson includes 1. Default settings 0:30 2. Enable credit card processing for member application 4:38 3. MIC Bill Pay 6:27 4. Event Setup 9:17 5. Back office payment

More information