Financial Message Mandatory
This scenario shows the claim transactions, financial transactions and financial messages that would be created for a claim that is initially covered and paid and is then adjusted resulting in a lower covered amount. Before sending out a invoice to take back the delta amount a refund letter is send to the provider. Depending on whether or not the provider sends back a check the following happens:
-
if a provider sends a check in response to a letter, the check details will be entered in the financial transaction process data in the UI, the financial message mandatory indicator is set and the claim hold is released.
-
if a provider does not send in a check in response to a letter, the retraction will be taken in the first payment run after the claim pend has expired.
Alternatively, the claim could potentially be reprocessed while the claim is still on a hold. In this situation a new transaction is created which is held back as a result of the hold which has already been set.
The setup for this scenario is as follows:
Dynamic fields
-
A dynamic field configured on the financial transaction process data table to record the type of check
-
A dynamic field configured on the financial transaction process data table to record the check number
Grouping
-
set financial message bulking group to claim code
Summary:
-
Claim 1
-
Second version is in response to a refund check and results in a retraction
-
Paid before there is a third version
-
-
Claim 2
-
Second version is in response to a refund check and results in retraction
-
Third version is created before second version is 'paid'
-
Setting the Scene: Claim CL123
0.1 Adjudicate Claim
The claim is adjudicated resulting in the following details in Oracle Health Insurance.
-
$110.00 Coverage
This claim is successfully finalized on the first of March 2014 creating a first version claim transaction. This transaction is paid in the payment run on the 3rd of March 2014.
This scenario describes the claim into detail from the point it is finalized the second time. This means the first version claim transaction is processed and paid but is not explicitly described. |
On 12 March 2014 the claim is unfinalized and re-a djudicated resulting in a second version claim with the following details:
-
$90 Coverage
-
$20 Copay
Working Copy Claim
Code | Person Code | Provider Code | Total Claimed Amount | Total Covered Amount |
---|---|---|---|---|
CL123 |
456 |
789AB |
110.00 |
90.00 |
Working Copy Claim Lines
Sequence | Payment Receiver | Allowed Amount | Action | Amount | Label |
---|---|---|---|---|---|
1 |
789AB |
110.00 |
Covered |
110.00 90.00 |
Covered |
Withhold |
20.00 |
Copay |
0.2 Finalize (Second Time)
The claim is finalized for the second time on 12 March 2014. The following are created at the same time:
-
Second version claim transaction
-
A financial transaction with a Base Financial Object
Claim Transaction
The claim transaction has the following details.
CTR Claim
Claim Transaction Code | Version | Transaction Date | Person Code | Provider Code | Total Allowed Amount | Total Covered Amount | Reversal Ind |
---|---|---|---|---|---|---|---|
CL123 |
1 |
10-Mar-2014 |
456 |
789AB |
110.00 |
110.00 |
N |
CL123 |
1 |
10-Mar-2014 |
456 |
789AB |
-110.00 |
-110.00 |
Y |
CL123 |
2 |
12-Mar-2014 |
456 |
789AB |
110.00 |
90.00 |
N |
CTR Claim Line ⇒ Coverages
Claim Transaction Code | Reversal Ind | Version | Claim Line Transaction Code | Allowed Amount | ⇒ | Payment Receiver | Action | Label | Amount |
---|---|---|---|---|---|---|---|---|---|
CL123 |
N |
1 |
1 |
110.00 |
789AB |
Covered |
Covered |
110.00 |
|
CL123 |
Y |
1 |
1 |
-110.00 |
789AB |
Covered |
Covered |
-110.00 |
|
CL123 |
N |
2 |
1 |
110.00 |
789AB |
Covered |
Covered |
90.00 |
|
Withhold |
Copay |
20.00 |
Financial Transaction
The financial transaction has the following details:
Base Financial Object
Type | Claim code | Status |
---|---|---|
CLA |
CL123 |
IN |
Financial Transaction and Financial Transaction Process Data
Version | Processing Type | Reversal? | Creation Date | Total Amount | ⇒ | Due Date | Financial Message Mandatory | Check Type | Check Reference | Financial Message Bulking Group | Financial Message ID | Financial Message Result |
---|---|---|---|---|---|---|---|---|---|---|---|---|
1 |
Regular |
N |
10-Mar-2014 |
$110.00 |
25-Mar-2014 |
N |
CL123 |
9203984 |
M |
|||
1 |
Regular |
Y |
10-Mar-2014 |
-$110.00 |
25-Mar-2014 |
N |
CL123 |
null |
null |
|||
2 |
Regular |
N |
12-Mar-2014 |
$110.00 |
25-Mar-2014 |
N |
CL123 |
null |
null |
Financial Transaction Detail and Financial Transaction Detail Process Data
Version | Reversal | Claim Line Code | Component Code | Amount | ⇒ | Invoice Indicator | Invoice Line Grouping | Accounting Detail Grouping | Payment Receiver |
---|---|---|---|---|---|---|---|---|---|
1 |
N |
1 |
Covered |
110.00 |
Y |
N |
N |
789AB |
|
1 |
Y |
1 |
Covered |
-110.00 |
Y |
N |
N |
789AB |
|
2 |
N |
1 |
Covered |
90.00 |
Y |
N |
N |
789AB |
|
Copay |
20.00 |
N |
N |
N |
0.3 Sending Refund Letter
A batch process runs to determine if a refund letter is required. As the projected payment amount for the second version transaction is negative (-$20) the following steps are taken:
-
A refund letter event is send out to the correspondence service to indicate that a letter is required
-
A hold is placed on claim level to prvent the transactions for this claim to be included in a payment run
Financial Hold
A financial hold is placed on claim level to prevent the financial transactions from being paid. For this scenario the expiration date is set to:
-
The date the refund letter is sent + 30 days
Financial Hold Type | Start DateTime | Expiration DateTime | Release DateTime | Table | Subject ID |
---|---|---|---|---|---|
REFUND_LETTER_HOLD |
12-Mar-2014 |
11-Apr-2014 |
CLA_CLAIMS |
CL123 |
At this point in time claim CL123 is on a hold. Scenario 1 describes the situation in which the refund check is received back and the transaction is paid. The claim is reprocessed once more, but only after the second version has already been paid. Scenario 2 describes the situation in which the claim is reprocessed before the refund check is received back and before the transaction is paid. |
Scenario 1: Claim is Paid Before There is a Third Version
The first scenario shows the following:
-
The second version transaction is paid, the financial message includes:
-
The reversal of the first version financial transaction
-
The second version financial transaction
-
A single invoice with a calculation difference between version 1 and 2
-
The check details included in the invoice
-
-
A third version transaction is created after the second version is paid, the financial message includes:
-
The reversal of the second version financial transaction
-
The third version financial transaction
-
A single invoice with a calculation difference between version 2 and 3
-
1.1 Processing Refund Check
In response to the refund letter the provider sends back a $20 check to balance off the retraction amount, which is received on 30 March 2014. The following steps are taken:
-
The check details are entered on the second version financial transaction process data
-
The financial message mandatory indicator is set to Yes to ensure the check details are included in the financial message
-
The claim hold is released allowing the claim to be paid
Financial Transaction
The financial transaction is updated as follows:
-
The financial transaction process data for claim CL123, version 2, is updated so that the financial message mandatory indicator is set to Y.
-
The check type is set to 'RETURNED_CHECK' and the check reference is set to the check number (192837465)
Base Financial Object
Type | Claim code | Status |
---|---|---|
CLA |
CL123 |
IN |
Financial Transaction and Financial Transaction Process Data
Version | Processing Type | Reversal? | Creation Date | Total Amount | ⇒ | Due Date | Financial Message Mandatory | Check Type | Check Reference | Financial Message Bulking Group | Financial Message ID | Financial Message Result |
---|---|---|---|---|---|---|---|---|---|---|---|---|
1 |
Regular |
N |
10-Mar-2014 |
$110.00 |
25-Mar-2014 |
N |
CL123 |
9203984 |
M |
|||
1 |
Regular |
Y |
10-Mar-2014 |
$110.00 |
25-Mar-2014 |
N |
CL123 |
null |
null |
|||
2 |
Regular |
N |
12-Mar-2014 |
$110.00 |
25-Mar-2014 |
N Y |
RETURNED_CHECK |
192837465 |
CL123 |
null |
null |
Financial Hold
The financial hold is updated so that:
-
A release date is set to 30 March 2014 making the transaction available for payment
Financial Hold Type | Start DateTime | Expiration DateTime | Release DateTime | Table | Subject ID |
---|---|---|---|---|---|
REFUND_LETTER_HOLD |
12-Mar-2014 |
11-Apr-2014 |
30-Mar-2014 |
CLA_CLAIMS |
CL123 |
1.2 Create Financial Message
The payment run is executed on 3th of April 2014. Claim CL123 is included in this selection.
Financial Message
The contents of the various parts of the financial message are as follows and include:
-
The reversal financial transaction of version 1
-
The financial transaction version 2
Financial Message
Job ID | Message Date | Message Bulking Group |
---|---|---|
132432 |
03-Apr-2014 |
CL123 |
Financial Message - Invoice
ID | Invoice Type | Vendor Num | Invoice Amount | Attribute 1 (CTR Claim Code) | Attribute 2 (CTR Version) | Attribute 3 (Check Type) | Attribute 4 (Check Reference) |
---|---|---|---|---|---|---|---|
89070 |
Standard |
789AB |
-20.00 |
CL123 |
2 |
RETURNED_CHECK |
192837465 |
Financial Message - Invoice Line
ID | Line Number | Line Type | Amount | Attribute 1 (CTR Claim Code) | Attribute 2 (CTR Version) | Attribute 3 (Reversal Indicator) | Attribute 4 (CTR Claim Line Code) |
---|---|---|---|---|---|---|---|
123572 |
1 |
ITEM |
-110 |
CL123 |
1 |
Y |
1 |
123573 |
2 |
ITEM |
90 |
CL123 |
2 |
N |
2 |
Financial Message - Accounting Detail
ID | Ledger ID | Accounting Date | Amount | Attribute 1 (CTR Claim Code) | Attribute 2 (CTR Version) | Attribute 3 (Reversal Indicator) | Attribute 4 (CTR Claim Line Code) | Attribute 5 (Component Code) |
---|---|---|---|---|---|---|---|---|
8719048 |
32423432 |
03-Apr-2014 |
-110.00 |
CL123 |
1 |
Y |
1 |
COVERED |
8719049 |
32423432 |
03-Apr-2014 |
90.00 |
CL123 |
2 |
N |
1 |
COVERED |
8719050 |
32423432 |
03-Apr-2014 |
20.00 |
CL123 |
2 |
N |
1 |
COPAY |
1.3 Unfinalize Claim
The claim is unfinalized on the 5th of April 2014 making the working copy of it available for changing and readjudication. When unfinalizing the following occurs:
-
Version 2 of the CTR Claim (transaction) is labeled as unfinalized
-
A reversal CTR Claim (transaction) for version 2 is created with the allowed and covered amounts reversed
-
A reversal Financial Transaction for version 2 is created with allowed and covered amounts reversed. It will be associated with the base financial object created when the claim was first finalized.
These reversals are shown below.
1.4 Adjust Claim
The claim is adjusted resulting in a change to the copay. It now has the following details in Claims:
Working Copy Claim
Code | Person Code | Provider Code | Total Claimed Amount | Total Covered Amount |
---|---|---|---|---|
CL123 |
456 |
789AB |
110.00 |
100.00 |
Working Copy Claim Lines
Sequence | Payment Receiver | Allowed Amount | Action | Amount | Label |
---|---|---|---|---|---|
1 |
789AB |
110.00 |
Covered |
90.00 100.00 |
Covered |
Withhold |
20.00 10.00 |
Copay |
1.5 Finalize (Third Time)
The claim is finalized for the third time on the 5th of April 2014. The following are created:
-
A third version claim transaction
-
A third version financial transaction
Claim Transaction
The claim transaction has the following details.
CTR Claim
Claim Transaction Code | Version | Transaction Date | Person Code | Provider Code | Total Allowed Amount | Total Covered Amount | Reversal Ind |
---|---|---|---|---|---|---|---|
CL123 |
1 |
10-Mar-2014 |
456 |
789AB |
110.00 |
110.00 |
N |
CL123 |
1 |
10-Mar-2014 |
456 |
789AB |
-110.00 |
-110.00 |
Y |
CL123 |
2 |
12-Mar-2014 |
456 |
789AB |
110.00 |
90.00 |
N |
CL123 |
2 |
12-Mar-2014 |
456 |
789AB |
-110.00 |
-90.00 |
Y |
CL123 |
3 |
05-Apr-2014 |
456 |
789AB |
110.00 |
100.00 |
N |
CTR Claim Line ⇒ Coverages
Claim Transaction Code | Reversal Ind | Version | Claim Line Transaction Code | Allowed Amount | ⇒ | Payment Receiver | Action | Label | Amount |
---|---|---|---|---|---|---|---|---|---|
CL123 |
N |
1 |
1 |
110.00 |
789AB |
Covered |
Covered |
110.00 |
|
CL123 |
Y |
1 |
1 |
-110.00 |
789AB |
Covered |
Covered |
-110.00 |
|
CL123 |
N |
2 |
1 |
110.00 |
789AB |
Covered |
Covered |
90.00 |
|
Withhold |
Copay |
20.00 |
|||||||
CL123 |
Y |
2 |
1 |
-110.00 |
789AB |
Covered |
Covered |
-90.00 |
|
Withhold |
Copay |
-20.00 |
|||||||
CL123 |
N |
3 |
1 |
110.00 |
789AB |
Covered |
Covered |
100.00 |
|
Withhold |
Copay |
10.00 |
Financial Transaction
The financial transaction has the following details:
Base Financial Object
Type | Claim code | Status |
---|---|---|
CLA |
CL123 |
IN |
Financial Transaction and Financial Transaction Process Data
Version | Processing Type | Reversal? | Creation Date | Total Amount | ⇒ | Due Date | Financial Message Mandatory | Check Type | Check Reference | Financial Message Bulking Group | Financial Message ID | Financial Message Result |
---|---|---|---|---|---|---|---|---|---|---|---|---|
1 |
Regular |
N |
10-Mar-2014 |
$110.00 |
25-Mar-2014 |
N |
CL123 |
9203984 |
M |
|||
1 |
Regular |
Y |
10-Mar-2014 |
$110.00 |
25-Mar-2014 |
N |
CL123 |
9203985 |
M |
|||
2 |
Regular |
N |
12-Mar-2014 |
$110.00 |
25-Mar-2014 |
Y |
CL123 |
9203985 |
M |
|||
2 |
Regular |
Y |
12-Mar-2014 |
$110.00 |
25-Mar-2014 |
Y |
CL123 |
null |
null |
|||
3 |
Regular |
N |
05-Apr-2014 |
$110.00 |
25-Mar-2014 |
N |
CL123 |
null |
null |
Financial Transaction Detail & Financial Transaction Detail Process Data
Version | Reversal | Claim Line Code | Component Code | Amount | ⇒ | Invoice Indicator | Invoice Line Grouping | Accounting Detail Grouping | Payment Receiver |
---|---|---|---|---|---|---|---|---|---|
1 |
N |
1 |
Covered |
110.00 |
Y |
N |
N |
789AB |
|
1 |
Y |
1 |
Covered |
-110.00 |
Y |
N |
N |
789AB |
|
2 |
N |
1 |
Covered |
90.00 |
Y |
N |
N |
789AB |
|
Copay |
20.00 |
N |
N |
N |
789AB |
||||
2 |
Y |
1 |
Covered |
-90.00 |
Y |
N |
N |
789AB |
|
-20.00 |
N |
N |
N |
789AB |
|||||
3 |
N |
1 |
Covered |
100.00 |
Y |
N |
N |
789AB |
|
10.00 |
N |
N |
N |
789AB |
1.6 Create Financial Message
The payment run is executed on the 10th of April 2014. Claim CL123 is included in this selection.
Financial Message
The contents of the various parts of the financial message are as follows and include:
-
The reversal financial transaction of version 2
-
The financial transaction version 3
Financial Message
Job ID | Message Date | Message Bulking Group |
---|---|---|
132432 |
03-Apr-2014 |
CL123 |
Financial Message - Invoice
ID | Invoice Type | Vendor Num | Invoice Amount | Attribute 1 (CTR Claim Code) | Attribute (CTR Version) | Attribute 3 (Check Type) | Attribute 4 (Check Reference) |
---|---|---|---|---|---|---|---|
89070 |
Standard |
789AB |
10.00 |
CL123 |
3 |
Financial Message - Invoice Line
ID | Line Number | Line Type | Amount | Attribute 1 (CTR Claim Code) | Attribute 2 (CTR Version) | Attribute 3 (Reversal Indicator) | Attribute 4 (CTR Claim Line Code) |
---|---|---|---|---|---|---|---|
123572 |
1 |
ITEM |
-90 |
CL123 |
2 |
Y |
1 |
123573 |
2 |
ITEM |
100 |
CL123 |
3 |
N |
2 |
Financial Message - Accounting Detail
ID | Ledger ID | Accounting Date | Amount | Attribute 1 (CTR Claim Code) | Attribute 2 (CTR Version) | Attribute 3 (Reversal Indicator) | Attribute 4 (CTR Claim Line Code) | Attribute 5 (Component Code) |
---|---|---|---|---|---|---|---|---|
8719048 |
32423432 |
03-Apr-2014 |
-110.00 |
CL123 |
2 |
Y |
1 |
COVERED |
8719049 |
32423432 |
03-Apr-2014 |
90.00 |
CL123 |
3 |
N |
1 |
COVERED |
8719050 |
32423432 |
03-Apr-2014 |
20.00 |
CL123 |
3 |
N |
1 |
COPAY |
Scenario 2
The second scenario shows the following:
-
The second and third version transactions are paid in the same finance run, one financial message is created which includes:
The claim is re-adjudicated the same way as described in scenario 1, only the sequence of steps is different. |
2.1 Unfinalize Claim
The claim is unfinalized on the 5th of April 2014 making the working copy of it available for changing and readjudication. When unfinalizing the following occurs:
-
Version 2 of the CTR Claim (transaction) is labeled as unfinalized
-
A reversal CTR Claim (transaction) for version 2 is created with the allowed and covered amounts reversed
-
A reversal Financial Transaction for version 2 is created with allowed and covered amounts reversed. It will be associated with the base financial object created when the claim was first finalized.
These reversals are shown below.
2.2 Adjust Claim
The claim is adjusted resulting in a change to the copay. It now has the following details in Claims:
Working Copy Claim
Code | Person Code | Provider Code | Total Claimed Amount | Total Covered Amount |
---|---|---|---|---|
CL123 |
456 |
789AB |
110.00 |
100.00 |
Working Copy Claim Lines
Sequence | Payment Receiver | Allowed Amount | Action | Amount | Label |
---|---|---|---|---|---|
1 |
789AB |
110.00 |
Covered |
90.00 100.00 |
Covered |
Withhold |
[line-through]#20.00 #10.00 |
Copay |
2.3 Finalize Claim (Third Time)
The claim is finalized for the third time on the 5th of April 2014. The following are created:
-
A third version claim transaction
-
A third version financial transaction
Claim Transaction
The claim transaction has the following details.
CTR Claim
Claim Transaction Code | Version | Transaction Date | Person Code | Provider Code | Total Allowed Amount | Total Covered Amount | Reversal Ind |
---|---|---|---|---|---|---|---|
CL123 |
1 |
10-Mar-2014 |
456 |
789AB |
110.00 |
110.00 |
N |
CL123 |
1 |
10-Mar-2014 |
456 |
789AB |
-110.00 |
-110.00 |
Y |
CL123 |
2 |
12-Mar-2014 |
456 |
789AB |
110.00 |
90.00 |
N |
CL123 |
2 |
12-Mar-2014 |
456 |
789AB |
-110.00 |
-90.00 |
Y |
CL123 |
3 |
05-Apr-2014 |
456 |
789AB |
110.00 |
100.00 |
N |
CTR Claim Line ⇒ Coverages
Claim transaction Code | Reversal Ind | Version | Claim Line Transaction Code | Allowed Amount | ⇒ | Payment Receiver | Action | Label | Amount |
---|---|---|---|---|---|---|---|---|---|
CL123 |
N |
1 |
1 |
110.00 |
789AB |
Covered |
Covered |
110.00 |
|
CL123 |
Y |
1 |
1 |
-110.00 |
789AB |
Covered |
Covered |
-110.00 |
|
CL123 |
N |
2 |
1 |
110.00 |
789AB |
Covered |
Covered |
90.00 |
|
Withhold |
Copay |
20.00 |
|||||||
CL123 |
Y |
2 |
1 |
-110.00 |
789AB |
Covered |
Covered |
-90.00 |
|
Withhold |
Copay |
-20.00 |
|||||||
CL123 |
N |
3 |
1 |
110.00 |
789AB |
Covered |
Covered |
100.00 |
|
Withhold |
Copay |
10.00 |
Financial Transaction
The financial transaction has the following details:
Base Financial Object
Type | Claim code | Status |
---|---|---|
CLA |
CL123 |
IN |
Financial Transaction and Financial Transaction Process Data
Version | Processing Type | Reversal? | Creation Date | Total Amount | ⇒ | Due Date | Financial Message Mandatory | Check Type | Check Reference | Financial Message Bulking Group | Financial Message ID | Financial Message Result |
---|---|---|---|---|---|---|---|---|---|---|---|---|
1 |
Regular |
N |
10-Mar-2014 |
$110.00 |
25-Mar-2014 |
N |
CL123 |
9203984 |
M |
|||
1 |
Regular |
Y |
10-Mar-2014 |
$110.00 |
25-Mar-2014 |
N |
CL123 |
null |
null |
|||
2 |
Regular |
N |
12-Mar-2014 |
$110.00 |
25-Mar-2014 |
Y |
CL123 |
null |
null |
|||
2 |
Regular |
Y |
12-Mar-2014 |
$110.00 |
25-Mar-2014 |
Y |
CL123 |
null |
null |
|||
3 |
Regular |
N |
05-Apr-2014 |
$110.00 |
25-Mar-2014 |
N |
CL123 |
null |
null |
Financial Transaction Detail and Financial Transaction Detail Process Data
Version | Reversal | Claim Line Code | Component Code | Amount | ⇒ | Invoice Indicator | Invoice Line Grouping | Accounting Detail Grouping | Payment Receiver | |
---|---|---|---|---|---|---|---|---|---|---|
1 |
N |
1 |
Covered |
110.00 |
Y |
N |
N |
789AB |
||
1 |
Y |
1 |
Covered |
-110.00 |
Y |
N |
N |
789AB |
||
2 |
N |
1 |
Covered |
90.00 |
Y |
N |
N |
789AB |
||
Copay |
20.00 |
N |
N |
N |
789AB |
|||||
2 |
Y |
1 |
Covered |
-90.00 |
Y |
N |
N |
789AB |
||
-20.00 |
N |
N |
N |
789AB |
||||||
3 |
N |
1 |
Covered |
100.00 |
Y |
N |
N |
789AB |
||
10.00 |
N |
N |
N |
789AB |
2.4 Processing Refund Check
In response to the refund letter the provider sends back a $20 check to balance off the retraction amount, which is received on the 7th of April 2014. The following steps are taken:
-
The check details are entered on the second version financial transaction process data
-
The financial message mandatory indicator is set to Yes to ensure the check details are included in the financial message
-
The claim hold is released allowing the claim to be paid
Financial Transaction
The financial transaction is updated as follows:
-
The financial transaction process data for claim CL123, version 2, is updated so that the financial message mandatory indicator is set to Y.
-
The check type is set to 'RETURNED_CHECK' and the check reference is set to the check number (192837465)
Base Financial Object
Type | Claim code | Status |
---|---|---|
CLA |
CL123 |
IN |
Financial Transaction and Financial Transaction Process Data
Version | Processing Type | Reversal? | Creation Date | Total Amount | ⇒ | Due Date | Financial Message Mandatory | Check Type | Check Reference | Financial Message Bulking Group | Financial Message ID | Financial Message Result |
---|---|---|---|---|---|---|---|---|---|---|---|---|
1 |
Regular |
N |
10-Mar-2014 |
$110.00 |
25-Mar-2014 |
N |
CL123 |
9203984 |
M |
|||
1 |
Regular |
Y |
10-Mar-2014 |
$110.00 |
25-Mar-2014 |
N |
CL123 |
null |
null |
|||
2 |
Regular |
N |
12-Mar-2014 |
$110.00 |
25-Mar-2014 |
N Y |
RETURNED_CHECK |
192837465 |
CL123 |
null |
null |
|
2 |
Regular |
Y |
12-Mar-2014 |
$110.00 |
25-Mar-2014 |
N |
CL123 |
null |
null |
|||
3 |
Regular |
N |
05-Apr-2014 |
$110.00 |
25-Mar-2014 |
N |
CL123 |
null |
null |
2.5 Create Financial Message
The payment run is executed on the 10th of April 2014. Claim CL123 is included in this selection.
Financial Message
The contents of the various parts of the financial message are as follows and include:
-
The reversal financial transaction version 1
-
The financial transaction version 2
-
The reversal financial transaction version 2
-
The financial transaction version 3
Financial Message
Job ID | Message Date | Message Bulking Group |
---|---|---|
132432 |
10-Apr-2014 |
CL123 |
Financial Message - Invoice
ID | Invoice Type | Vendor Num | Invoice Amount | Attribute 1 (CTR Claim Code) | Attribute 2 (CTR Version) | Attribute 3 (Check Type) | Attribute 4 (Check Reference) |
---|---|---|---|---|---|---|---|
89070 |
Standard |
789AB |
-20.00 |
CL123 |
2 |
RETURNED_CHECK |
192837465 |
89071 |
Standard |
789AB |
10.00 |
CL123 |
3 |
Financial Message - Invoice Line
ID | Line Number | Line Type | Amount | Attribute 1 (CTR Claim Code) | Attribute 2 (CTR Version) | Attribute 3 (Reversal Indicator) | Attribute 4 (CTR Claim Line Code) |
---|---|---|---|---|---|---|---|
123572 |
1 |
ITEM |
-110 |
CL123 |
1 |
Y |
1 |
123573 |
2 |
ITEM |
90 |
CL123 |
2 |
N |
1 |
123574 |
3 |
ITEM |
-90 |
CL123 |
2 |
Y |
1 |
123575 |
4 |
ITEM |
100 |
CL123 |
3 |
N |
1 |
Financial Message - Accounting Detail
ID | Ledger ID | Accounting Date | Amount | Attribute 1 (CTR Claim Code) | Attribute 2 (CTR Version) | Attribute 3 (Reversal Indicator) | Attribute 4 (CTR Claim Line Code) | Attribute 5 (Component Code) |
---|---|---|---|---|---|---|---|---|
8719048 |
32423432 |
10-Apr-2014 |
-110.00 |
CL123 |
1 |
Y |
1 |
COVERED |
8719049 |
32423432 |
10-Apr-2014 |
90.00 |
CL123 |
2 |
N |
1 |
COVERED |
8719050 |
32423432 |
10-Apr-2014 |
20.00 |
CL123 |
2 |
N |
1 |
COPAY |
8719051 |
32423432 |
10-Apr-2014 |
-90.00 |
CL123 |
2 |
Y |
1 |
COVERED |
8719052 |
32423432 |
10-Apr-2014 |
-20.00 |
CL123 |
2 |
Y |
1 |
COPAY |
8719053 |
32423432 |
10-Apr-2014 |
100.00 |
CL123 |
3 |
N |
1 |
COVERED |
8719054 |
32423432 |
10-Apr-2014 |
10.00 |
CL123 |
3 |
N |
1 |
COPAY |