Siebel Life Sciences Guide > Setting Up and Making Subject Activity Payments >

Generating Final Payments for Sites (End User)


Final payments can be made to sites when all payment activities have been completed

NOTE:  All prior final payments to sites must be completed and information for these payments updated in the system before new final payments can be generated.

To generate final payments for a site

  1. Navigate to the Site Management screen > Protocol Site List view.
  2. In the Sites list, drill down on the Site # of the site for which you want to generate a payment.
  3. Click the Payments view tab.
  4. Make sure that all Check Amounts for past payments are up to date.
  5. In the Payment list, create a new record and complete the necessary fields.

    Some fields are described in the following table.

    Field
    Comments

    Check Amount

    The amount of money for which the check is to be made out. This is usually, but does not have to be, the same as the Earned Amount.

    Check Date

    The date on which the check was issued.

    Check Number

    The number assigned to the check.

    Status

    This field defaults to To Be Processed.

    Type

    You must set this field to Final Payment. When this field is set, the Requested Amount for the final payment is automatically calculated as equal to the Earned to Date Amount minus the Paid to Date Amount for the site.

    When you step-off and save the record, the requested amount field is automatically updated, by subtracting the site's total Paid Amount to date (that is, Check Amount) from it's total Earned Amount to date. For more information on these values, see Step 7.

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