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THE BENEFITS OF HRS INSURANCE PROCESSING

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Presentation on theme: "THE BENEFITS OF HRS INSURANCE PROCESSING"— Presentation transcript:

1 THE BENEFITS OF HRS INSURANCE PROCESSING
DAN BIELSKI

2 ARS Standard Items-SMSTD01A.FMX
Employer pays the entire insurance cost: Benefit (one Standard Item) Employee/Retiree and Employer split the insurance cost: Benefit & Deduction (two Standard Items) Employee/Retiree pays the entire insurance cost: Deduction (one Standard Item)

3 Chart of Accounts-FMACT02A.FMX

4 Chart of Accounts-FMACT02A.FMX

5 Deduction/Benefit Master-HMDED02A.FMX
Enter a deduction for retiree paid portion of insurance premium Assign A/R Standard Item Retiree paid only

6 Deduction/Benefit Master-HMDED02A.FMX
Enter a benefit for employer paid portion of insurance premium Assign A/R Standard Item Employer paid only

7 Deduction/Benefit Master-HMDED02A.FMX
Retiree paid portion of splitting the cost

8 Deduction/Benefit Master-HMDED02A.FMX
Employer paid portion of splitting the cost

9 Insurance Plans and Coverage-HMBEN05A.FMX

10 Insurance Plans and Coverage-HMBEN05A.FMX

11 Insurance Plans and Coverage-HMBEN05A.FMX

12 Employee Insurance Coverage-HEINS01A.FMX

13 Employee Insurance Coverage-HEINS01A.FMX

14 Employee Insurance Coverage-HEINS01A.FMX

15 HRS Insurance Processing – Create A/R Invoices-HIPAR01A.FMX
Create A/R invoices for employee insurance coverage billed to an employee or former employee such as COBRA; Retirees; and LOA

16 Employee Insurance Coverage-HEINS01A.FMX
Filters used to select invoices when running HRS Insurance Processing – Create A/R Invoices-HIPAR01A.FMX

17 HRS Insurance Processing – Create A/R Invoices-HIPAR01A.FMX
Filters used to select records: Plan Year – insurance coverage for the year selected; required Effective Date – date used to select which active insurance coverage records to process; required Billing Type – COBRA; Retirees; LOA; linked to the Billing Type in Employee Insurance Coverage-HEINS01A.FMX; initially defaults to All Billing Cycle – Billing Cycle Master LOV; linked to the Cycle in Employee Insurance Coverage-HEINS01A.FMX Benefit Type – linked to Employee Insurance Coverage-HEINS01A.FMX; initially defaults to All Benefit Grouping – linked to Employee Insurance Coverage-HEINS01A.FMX; initially defaults to All Note…the A/R checkbox must be selected in Employee Insurance Coverage- HEINS01A.FMX for an employee to be included in the invoice process

18 HRS Insurance Processing – Create A/R Invoices-HIPAR01A.FMX
Invoice Date – date of the invoice; required when creating invoices Reference No – optional used for descriptive purposes Header Code – displayed on the invoice; optional Footer Code – displayed on the invoice; optional A/R Invoice Verification (button) – launches the Employee Insurance – A/R Invoice Verification process and report (HEINV01A.REP); and Error Report-SMERR01A.REP if there are errors Create Invoices (button) – launches batch master and passes batch #; batch year; etc. to Create Invoice Process; the Invoice Edit List-FREDT01A.REP; and Error Report-SMERR01A.REP if there are errors Invoice Edit List (button) – launch the Invoice Edit List-FREDT01A.REP Error Report (button) – launch the Error Report-SMERR01A.REP HRS Insurance Setup (button) – HRS Insurance Processing Setup- HIPSU01A.FMX

19 HRS Insurance Processing – Create A/R Invoices-HIPAR01A.FMX
Select A/R Invoice Verification to validate employee insurance coverage records selected for invoicing Verification report automatically launched; error report launched (if errors)

20 A/R Invoice Verification Report-HIPAR01A.REP

21 A/R Invoice Verification Report-HIPAR01A.REP

22 HRS Insurance Processing – Create A/R Invoices-HIPAR01A.FMX
Select Create Invoices to generate A/R invoices

23 Batch Master-FMBTH01A.FMX
The Create Invoices button launches the Batch Master- FMBTH01A.FMX; used to add a batch for the invoices

24 HRS Insurance Processing – Create A/R Invoices-HIPAR01A.FMX
The Create Invoices button verifies the employee insurance coverage information and then generates A/R invoices for each customer selected. Automatically launches Error Report-SMERR01A.REP if there are errors; and Invoice Edit List-FREDT01A.REP

25 Invoice Edit List-FREDT01A.REP

26 HRS Insurance Processing – Create A/R Invoices-HIPAR01A.FMX
Select Invoice Edit List to launch Invoice Edit List-FREDT01A.REP

27 Invoice Edit List-FREDT01A.REP
A pre-filled run time parameter form auto displays

28 Invoice Edit List-FREDT01A.REP

29 Error Report-SMERR01A.REP
Select Error Report

30 Error Report-SMERR01A.REP – Example
Error Report-SMERR01A.REP will auto generate when you click A/R Invoice Verification and Create Invoices (buttons) if there are errors If you accidently close out of the error report that auto generated you may click the Error Report (button) to regenerate it

31 Accounts Receivable Entry-FRENT01A.FMX
A/R entries generated can be reviewed Each employee insurance coverage invoiced will include invoice entries for both the retiree paid and employer paid portions

32 Accounts Receivable Entry-FRENT01A.FMX

33 Accounts Receivable Entry-FRENT01A.FMX

34 Accounts Receivable Entry-FRENT01A.FMX

35 Invoice Edit List Report-FREDT01A.REP
Ran this report due to accessing Accounts Receivable Entry-FRENT01A.FMX in order to print invoices (resets a flag)

36 Invoice Edit List Report-FREDT01A.REP

37 Print Invoices Report-FRPRT01S.REP

38 Print Invoices Report-FRPRT01S.REP
Used to print all or specific invoices Prerequisite: you must define the AR bank in Bank Master- SMBNK01A.FMX that includes a mailing name and address used to print A/R invoices Header & Footer – leave blank if Header Code and Footer Code were populated on Create A/R Invoices-HIPAR01A.FMX

39 Print Invoices Report-FRPRT01S.REP

40 Print Invoices Report-FRPRT01S.REP

41 Print Invoices Report-FRPRT01S.REP

42 A/R Print Invoices File For Capture-FRCNT01S.FMX

43 A/R Print Invoices File For Capture-FRCNT01S.FMX

44 A/R Print Invoices File For Capture-FRCNT01S.FMX

45 A/R Print Invoices File For Capture-FRCNT01S.FMX

46 A/R Print Invoices File For Capture-FRCNT01S.FMX

47 A/R Print Invoices File For Capture-FRCNT01S.FMX

48 A/R Print Invoices File For Capture-FRCNT01S.FMX

49 Journals Inquiry-FJINQ01S.FMX
Used to display A/R invoice transactions

50 Journals Inquiry-FJINQ01S.FMX
Used to display A/R invoice transactions

51 Journals Inquiry-FJINQ01S.FMX
Used to display A/R invoice transactions

52 Post A/R Invoices-FRPST01A.FMX
Used to post A/R invoice transactions to the adjusting journals

53 Result of Posting the A/R Invoices
Amount Paid is empty and Amount Cancel is .00 when an invoice is NOT yet posted.

54 Result of Posting the A/R Invoices
The Payments tab below the header record is empty when an invoice is NOT yet posted.

55 Print Activity Journal-FJATV01A.REP
Used to verify G/L entries by batch

56 Print Activity Journal-FJATV01A.REP

57 A/R Invoice Maintenance-FRENT02A.FMX
Used to modify an invoice after Post A/R Invoices- FRENT02A.FMX is run Used to change the credit or debit accounts; unit price; or cancel the remaining amount on an item

58 A/R Invoice Maintenance-FRENT02A.FMX

59 A/R Invoice Maintenance-FRENT02A.FMX

60 A/R Invoice Maintenance-FRENT02A.FMX

61 A/R Invoice Receiving-FRENT03A.FMX
Used to record payments received from retirees for outstanding invoices; N/A for ACH Note…you must post an invoice before you can enter an invoice payment

62 A/R Invoice Receiving-FRENT03A.FMX
Initially accessed the invoice.

63 A/R Invoice Receiving-FRENT03A.FMX
Manually keyed in the Check field; and pressed the “Recv” button. Invoice Total; Total Received; Amount Paid; and Amount Cancel then auto filled with Saved the record.

64 A/R Invoice Receiving-FRENT03A.FMX
Manually keyed in the Check field; and pressed the “Recv” button. Invoice Total; Total Received; Amount Paid; and Amount Cancel then auto filled with 32.19 Saved the record.

65 A/R Invoice Receiving-FRENT03A.FMX
Initially accessed the invoice. Did not make any manual changes.

66 Invoice Receiving Edit List-FREDT02A.REP
Used to review payments not yet posted

67 Invoice Receiving Edit List-FREDT02A.REP
Note…transactions are not available to print or post until the edit report is run

68 Post Invoice Payments-FRPST02A.FMX
Used to post A/R invoice payments received to the adjusting journals Note…a batch is not available for posting until an Invoice Receiving Edit List–FREDT02A.REP for the batch is run and is error free

69 Customer Inquiry-FCINQ01A.FMX
Used to view open invoice activity; invoice account distribution Drill down capability on certain fields; using the tool tip feature

70 Customer Inquiry-FCINQ01A.FMX (Detail/Payments)

71 A/R Invoice Verification Report-HIPAR01A.REP
HRS Insurance Processing – Create A/R Invoices-HIPAR01A.FMX >>> Spreadsheet Ready A/R Invoice Verification Report-HIPAR01A.REP These two reports will always display using paper layout (neither is spreadsheet ready): Verify A/R Invoices Error Messages-SMERR01A.REP Invoice Edit List-FREDT01A.REP

72 A/R Invoice Verification Report-HIPAR01A.REP

73 A/R Invoice Verification Report-HIPAR01A.REP

74 A/R Invoice Verification Report-HIPAR01A.REP

75 A/R Invoice Verification Report-HIPAR01A.REP

76 A/R Invoice Verification Report-HIPAR01A.REP

77 A/R Processing Resource Information

78 Processing A/P Checks

79 Direct Payment Entry-FPENT06A.FMX
Used to make payments when there is not an associated purchase order. Create a batch

80 Direct Payment Entry-FPENT06A.FMX

81 Direct Payment Entry-FPENT06A.FMX Account No & Cash Account No

82 Payment Request Edit-FPEDT01B.REP
Used to review payments not yet posted

83 Payment Request Edit-FPEDT01B.REP

84 Post Payments-FPPST01A.FMX
Used to post transactions to the general ledger

85 Print Activity Journal-FJATV01A.REP

86 Print Activity Journal-FJATV01A.REP

87 Print Activity Journal-FJATV01A.REP

88 A/P Check Print-FPCHK10S.REP
Used to generate A/P checks for all payments in a batch or batches

89 A/P Check Print-FPCHK10S.REP

90 Post A/P Check Print-FPPST02A.FMX
After checks are printed used to post the A/P check print

91 Print Activity Journal-FJATV01A.REP
Used to verify G/L entries by batch

92 Print Activity Journal-FJATV01A.REP

93 Print Activity Journal-FJATV01A.REP

94 Payment Processing Resource Information

95 End of HRS Insurance Processing

96 HRS Insurance Processing Accounting

97 Retiree Pays For The Benefit fas. ar_invoice_detail
Retiree Pays For The Benefit fas.ar_invoice_detail.district_paid_flag=N (retiree portion) Accounting EXAMPLE ARS Standard Items-SMSTD01A.FMX (Debit Account – A/R Type 12 or 13) ARS Standard Items-SMSTD01A.FMX (Credit Account – A/P Type 21) X X X X Control Accounts-FMACT07A.FMX (Cash – Type 11) Control Accounts-FMACT07A.FMX (A/P Control – Type 21) X X X X Post A/R Invoices-FRPST01A.FMX Post Invoice Payments-FRPST02A.FMX Post Payments-FPPST01A.FMX Post A/P Check Print-FPPST02A.FMX

98 Employer Pays For The Benefit fas. ar_invoice_detail
Employer Pays For The Benefit fas.ar_invoice_detail.district_paid_flag=Y (employer portion) Accounting EXAMPLE ARS Standard Items-SMSTD01A.FMX (Debit Account – Expense Type 91) ARS Standard Items-SMSTD01A.FMX (Credit Account – A/P Type 21) X X X Control Accounts-FMACT07A.FMX (Cash – Type 11) Control Accounts-FMACT07A.FMX (A/P Control – Type 21) X X X Post A/R Invoices-FRPST01A.FMX Post Payments-FPPST01A.FMX Post A/P Check Print-FPPST02A.FMX

99 Post A/R Invoices-FRPST01A.FMX Post Invoice Payments-FRPST02A.FMX
Retiree/Employer Split The Cost Of The Benefit fas.ar_invoice_detail.district_paid_flag=N (retiree portion) fas.ar_invoice_detail.district_paid_flag=Y (employer portion) Accounting EXAMPLE ARS Standard Items-SMSTD01A.FMX (Debit Account – A/R Type 12 or 13) ARS Standard Items-SMSTD01A.FMX (Debit Account – Expense Type 91) Standard Items-SMSTD01A.FMX (Credit Account – A/P Type 21) X X X* X X X* X* Control Accounts-FMACT07A.FMX (Cash – Type 11) Control Accounts-FMACT07A.FMX (A/P Control – Type 21) X X X X X* X* X* Post A/R Invoices-FRPST01A.FMX Post Invoice Payments-FRPST02A.FMX Post Payments-FPPST01A.FMX Post A/P Check Print-FPPST02A.FMX * = Employer Paid

100 End of Accounting

101 Creating an ACH Customer File

102 Creating an ACH Customer File
ACH file processing: HRS Insurance Processing – Create A/R Invoices- HIPAR01A.FMX A/R Invoice Verification Report-HIPAR01A.REP (button) Invoice Edit List-FREDT01A.REP and error/log report (buttons) Print Invoices Report-FRPRT01S.REP Post A/R Invoices-FRPST01A.FMX Create ACH Customer File-FRACH01A.FMX Invoice Receiving Edit List-FREDT02A.REP Post Invoice Payments-FRPST02A.FMX

103 Creating an ACH Customer File
HRS Insurance Processing – Create A/R Invoices-HIPAR01A.FMX A/R Invoice Verification Report-HIPAR01A.REP (button) Invoice Edit List-FREDT01A.REP and error/log report (buttons)

104 A/R Invoice Verification Report-HIPAR01A.REP

105 Invoice Edit List-FREDT01A.REP

106 Print Invoices Report-FRPRT01S.REP

107 Print Invoices Report-FRPRT01S.REP

108 Create ACH Customer File-FRACH01A.FMX
You must create a batch

109 Create ACH Customer File-FRACH01A.FMX
Create the ACH transactions in a file that is transmitted to the bank to withdraw payment (Transaction Type: 27 – Checking and 37 – Savings)

110 Create ACH Customer File-FRACH01A.FMX
Batch Year – 2-digit batch year (read only) Batch No – batch created for the ACH file process (read only) File Name – enter the full path where the (txt) file will be stored. Click the Folder icon to select the path for the saved file Effective Entry Date – enter the file creation date. This date must be later than or equal to the Transmission Date (current date/time) Bank Number – this is the bank that will receive the ACH file Invoice Batch Ranges to Include – the batch or range of batch numbers that contain ARS payments to be processed

111 ACH Customer Payment Transmittal Record-FRACH01A.REP

112 Sample: ACH Transmittal File

113 Customer Master-FMCST01A.FMX

114 A/R Invoice Receiving-FRENT03A.FMX
N/A for ACH

115 A/R Invoice Receiving-FRENT03A.FMX
N/A for ACH

116 A/R Invoice Receiving-FRENT03A.FMX
N/A for ACH

117 A/R Invoice Receiving-FRENT03A.FMX
N/A for ACH

118 Invoice Receiving Edit List-FREDT02A.REP
Used to review payments not yet posted

119 Invoice Receiving Edit List-FREDT02A.REP
Note…transactions are not available to print or post until the edit report is run

120 Post Invoice Payments-FRPST02A.FMX
Used to post A/R invoice payments received to the adjusting journals Note…a batch is not available for posting until an Invoice Receiving Edit List–FREDT02A.REP for the batch is run and is error free

121 Print Activity Journal-FJATV01A.REP
Used to verify G/L entries by batch

122 Print Activity Journal-FJATV01A.REP

123 End of Creating an ACH Customer File

124 HRS Insurance Processing Resource Information

125 Additional Training If you are interested in other Alio WebEx group training sessions, you can view a list of sessions currently available at: If you prefer one-on-one training, please contact your Alio support provider directly for cost and scheduling information. 

126


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