This screen displays the payments for the current customer - or if there is no current customer, a Select button allowing you to select a customer.
Note that 'payments' are the payments (or refunds) that are currently currently active, ie not yet Finalised. If you need to look at previously Finalised payments etc, then you use the Customer|Account screen.
It is unusual for this screen to display any transactions because both Payments and Refunds are by default created with status Finalised and thus are moved immediately to the Account screen.
This screen functions like a standard select screen. As well as by date, you can select by:
Type - this can be set to All, Payment or Refund
The item area displays the matching transactions. The column headers are self explanatory. Note that the Description column is always blank. You can click on any column header to sort by that column.
The Items tab displays the line items of the selected transaction, and the details for the selected line item. You can click on any of the column headers except Discount to sort the line items by that column. If you need information on the item fields click here for payments and here for refunds.
The buttons are as follows:
New - create a new Payment or Refund - a confirmation window will appear
Edit - edit the selected transaction
Delete - delete the selected transaction - a confirmation window will appear
Finalise - change the status of the selected transaction to Finalised - a confirmation window will appear. Finalising the transaction locks it from any further changes and moves it the the Customers|Account area
Print - print the selected transaction
Mail - mail the selected transaction
This is the screen used to create and edit customer payments.
The header fields are as follows:
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The amount of the current invoice, if any. |
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The customer's current overdue balance. |
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The date on which the payment was created. |
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The amount of the payment - this is the sum of the line item amounts. |
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This checkbox will be checked when the payment is printed. |
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This is initially set to Finalised, and can also be set to In Progress or On Hold. |
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The customers balance at the end of the last accounting cycle. |
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The total balance owed by the customer. |
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Any relevant notes. |
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Any appropriate reference number/code. |
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The till into which the money is to be paid. |
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The practice location where the payment was created. |
The Items tab allows you to add, delete, view and edit the item items. The buttons allows you to select the payment type to be one of EFT, Cash, Cheque, Credit Card, Other, or Discount. Note that the last is a 'negative' payment - you can use this payment type to include a discount for the customer.
By default, an EFT payment is added. The default payment type can be changed using the Default Payment Type Practice option.
The table shows the line items - normally there will be only one, but multiple are supported for split payments.
The item detail area changes depend on the payment type, as described below.
The EFT fields are as follows:
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This will default to the amount owed. |
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Enter any cash out amount. |
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Allows the EFTPOS terminal to be selected, if there are EFTPOS terminals linked to the selected Till. |
When an EFTPOS Terminal is selected, clicking Apply or OK initiates communication with the terminal.
The Cash fields are as follows:
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This will default to the amount owed. |
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This is the rounded equivalent of Amount using the minimum cash denomination and rounding mode set for the currency - see Administration - Lookups - Currency. |
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The amount tendered. |
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This will be Tendered less Rounded Amount. |
The Cheque fields are as follows:
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This will default to the amount owed. |
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The name of the drawer of the cheque. |
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Something that identifies the branch of the bank. For Australian usage this is the BSB (Bank State Branch) number. |
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Select the bank using the pull-down. The values allowed are set via Administration - Lookups - Bank. |
The Credit Card fields are as follows:
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This will default to the amount owed. |
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Select the credit card using the pull-down. The values allowed are set via Administration - Lookups - Credit Card. |
The Other fields are as follows:
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This will default to the amount owed. |
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Select the payment type using the pull-down. The values allowed are set via Administration - Lookups - Custom Payment Type. |
The Discount fields are as follows:
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The discount amount being given. |
If a payment covers charges being claimed in a current gap Insurance Claim, an Allocate Payment window will be displayed.
This allows the user to allocate the payment to different charges; if a gap insurance claim is paid by the customer, they cannot claim the benefit amount.
The window displays:
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The order in which the payment will be allocated to charges |
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The charge identifier |
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The charge type |
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The charge date |
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The total charge amount. An insurance claim may claim part of this total. |
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The amount of the charge that has been paid already. |
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The amount of the charge still to pay |
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How much of the payment is being allocated to the charge |
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Any charge notes |
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The clinician responsible for the charge, if any. |
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Ticked if part or all of the charge is being claimed. |
The payment will be allocated to the first charge. If there any remaining funds, it will be allocated to the second, and so on.
The allocation order can be changed by selecting one of the charges, and using the Move Up or Move Down buttons.
Any Insurance Claim that claims the selected charge will be summarised beneath the allocation table.
If OK is clicked, and the payment is:
The Pay Claim window is displayed if a payment is allocated to a charge being claimed in a current gap Insurance Claim.
The window displays:
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The patient that the claim is for |
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The insurer that is handling the claim |
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The total claim amount |
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The amount the insurer has agreed to pay |
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The total amount the customer must pay |
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The amount the customer has already paid |
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The current allocation towards paying the claim |
Clicking OK confirms payment towards the claim.
Clicking Cancel returns to the Allocate Payment window.
This is the screen used to create and edit customer refunds.
The header fields are as follows:
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The amount of the current invoice, if any. |
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The customer's current overdue balance. |
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The date on which the payment was created. |
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The amount of the refund- this is the sum of the line item amounts. |
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This checkbox will be checked when the refund is printed. |
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This is initially set to Finalised, and can also be set to In Progress or On Hold. |
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The customers balance at the end of the last accounting cycle. |
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The total balance owed by the customer. |
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Any relevant notes. |
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Any appropriate reference number/code. |
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The till into which the money is to be paid. |
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The practice location where the refund was created. |
The Items tab allows you to add, delete, view and edit the items. The pull-down allows you to select the refundtype to be one of EFT, Cash, Cheque, Credit Card, Other, or Discount. Note that the last is a 'negative' refund - you can use this refund type to revert a discount for the customer.
The table shows the line items - normally there will be only one, but multiple are supported for split refunds.
The item detail area changes depend on the refund type, as described below.
The EFT fields are as follows:
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This will default to the amount owed to the customer or 0.00 if nothing is owing. |
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Allows the EFTPOS terminal to be selected, if there are EFTPOS terminals linked to the selected Till. |
When an EFTPOS Terminal is selected, clicking Apply or OK initiates communication with the terminal.
The Cash fields are as follows:
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This will default to the amount owed to the customer or 0.00 if nothing is owing. |
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This is the rounded equivalent of Amount using the minimum cash denomination and rounding mode set for the currency - see Administration - Lookups - Currency. |
The Cheque fields are as follows:
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This will default to the amount owed to the customer or 0.00 if nothing is owing. |
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The name of the drawer of the cheque. |
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Something that identifies the branch of the bank. For Australian usage this is the BSB (Bank State Branch) number. |
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Select the bank using the pull-down. The values allowed are set via Administration - Lookups - Bank. |
The Credit Card fields are as follows:
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This will default to the amount owed to the customer or 0.00 if nothing is owing. |
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Select the credit card using the pull-down. The values allowed are set via Administration - Lookups - Credit Card. |
The Other fields are as follows:
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This will default to the amount owed to the customer or 0.00 if nothing is owing. |
The Discount fields are as follows:
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The discount amount being refunded. |
When you press the Delete button on the Customers|Payments screen, a confirmation window will appear. Press OK to confirm or Cancel to abort.
When you press the Finalise button on the Customers|Payments screen, a confirmation window will appear. Press OK to confirm or Cancel to abort.
This window allows you to select the type of transaction to be created. Select the required one and press OK, else Cancel to abort. Note that since Payment is the default selection, and OK the default button, you can simply press the Enter key to create a new payment.