Accounts Payable. Summary
|
|
|
- Britton Wiggins
- 10 years ago
- Views:
Transcription
1 Accounts Payable Summary EFT is HCR ManorCare s expected method of payment. EDI is HCR ManorCare s preferred method of invoicing. All new vendors must be approved by Corporate Purchasing prior to purchase of any products or services. All potential new vendors must include a completed W 9 form and an EFT enrollment form with voided check in order for the vendor to be set up. All W 9s that are received with a nine digit Social Security number must provide two business references not affiliated with HCR ManorCare (name, address and phone number). An updated W 9/EFT form is required for any changes made to an existing vendor s reporting information. All invoices must have the vendor name, vendor remit address, description of service/product, invoice number, invoice date, invoice amount, HCR ManorCare s facility business unit number, name and address. Vendor terms are 45 days for product vendors and 35 days for service vendors. Payment Term is the number of days from invoice date to payment date. All inquiries regarding the status of payment should be directed to the facility where the service was performed or product purchased. For more detailed information regarding HCR ManorCare s Accounts Payable process, including answers to Frequently Asked Questions (FAQs), please see below.
2 Accounts Payable Information HCR ManorCare s corporate Accounts Payable is centralized in Toledo, Ohio. Each year, this department processes more than 1 million invoices, working closely with our business units to pay suppliers on time. AP continuously strives to improve its customer service and to work closely with vendors to resolve payment issues. For additional information, please see below, including FAQs. Payment Type EFT is HCR ManorCare s expected method of payment for all payments processed through the Accounts Payable system. The expectation is that all vendors are 100 percent compliant with our EFT program, which offers the benefits of timely payments, less paperwork, improved cash flow and convenience. New Vendor Request All vendors must be approved by Corporate Purchasing prior to the purchase of any products or services. Failure to do so will result in non payment of invoices. As part of this request, all potential new vendors must include a completed W 9 form and an EFT enrollment form with voided check in order to set up the vendor. The W 9 and EFT forms must be completed and signed by the vendor. Both of these forms are included on the vendor page. All vendor requests submitted without either of these two forms will be returned, and the vendor will not be set up. HCR ManorCare s Vice President of Purchasing will review and approve all new product and service vendors prior to the facility placing an order. After the Purchasing Department has accepted the vendor, the vendor s taxpayer name and Tax Identification Number (federal ID or Social Security number) will be matched with IRS records. Vendors will not be set up until this information matches the IRS records. Typically, vendors will be set up within 10 business days of receiving the correct information, completed W 9 form and completed EFT enrollment form. All credit applications (if required by the vendor) should be sent to Corporate Purchasing for completion. Purchase Service and Purchase Labor Vendors All service/labor vendors must be processed and paid directly from the Corporate AP system (payments are not generated at the facilities). The IRS has become stricter on the fine line that separates when a vendor qualifies as a Purchase Service vendor or as an Employee. If a vendor does not meet the IRS test qualifying it as a Purchase Service vendor, HCR ManorCare will be fined. To ensure that HCR ManorCare has a no risk system in place, all W 9s that are received with a nine digit Social Security number must have two business references provided (name, address and phone number). These references cannot be affiliated with HCR ManorCare and will be kept on file at the corporate office and furnished to the IRS when HCR ManorCare is audited.
3 If a vendor completes a W 9 form with a nine digit Social Security number and cannot furnish at least two business references or other proof of legitimacy, or fails the independent contractor test, the vendor cannot be set up in the Accounts Payable System as a Purchase Service vendor. This individual no longer has the status of vendor and must be treated as an employee, with all applicable taxes deducted from his/her pay. Existing vendors invoices must meet the requirements stated above or the invoice cannot be processed. All requests for payment must be through the vendor s formal invoice, prepared by the vendor. Existing Vendor Updates An updated W 9 form is required for any changes made to an existing vendor s reporting information. This includes vendor name, identification number, address, etc. This form is a requirement set forth by the IRS per its Publication Failure to comply with the IRS may result in fines for both parties. An updated EFT form is also required for any banking changes made by the vendor. Vendor Terms and Conditions of Payment Standard vendor payment terms are established by HCR ManorCare to maintain a balance between cash inflows and outflows; create and sustain clear relations with vendors; and to allow for efficient, costeffective processing. Periodically, standard payment terms are reviewed and confirmed or adjusted to better reflect our current operating environment. The standard payment terms range from 35 days to 45 days for all new vendors. Payment Term is the number of days from invoice date to payment date. All invoice dates must be after goods have been received and/or services have been provided. Predated invoices will be rejected or terms will be extended to conform to the company standard. The upfront establishment of clear payment practices will help ensure positive vendor relations. The standard terms are not negotiable and will be used for all payments regardless of vendor requests or terms per invoice. If extenuating circumstances warrant an exception to the standard term (for example, the vendor is offering a substantial early payment discount), refer the request to the Accounts Payable Department in Toledo ( apvendorinquiries@hcr manorcare.com ) Please include a detailed explanation for the exception request. If the exception request is granted, future purchases will be paid according to the new term. Payments for any previous purchases/invoices will be paid based on the standard term.
4 Accounts Payable FAQs What do I need to do to ensure prompt payment of my invoices? In order to get paid timely, all vendor invoices must have the following on each invoice: Vendor Name Facility Business Unit Number Vendor Remit Address Facility Name Description of Service/Product Facility Address Invoice Date Invoice Number Invoice Amount Whom do I contact regarding payment status? All inquiries regarding the status of payment should be directed to the facility where the service was performed or product purchased. Whom do I contact with invoice/payment issues or payment remittance? All inquiries for invoice/payment issues or payment remittance should be directed to AP Vendor Inquiries ( apvendorinquiries@hcr manorcare.com ), and should include as much detail as possible, including vendor name, vendor number, invoice number, invoice date and invoice amount. Please allow a response period of 24 hours. How do I submit basic changes to my company s data? Basic changes to your company information (i.e. new address, banking information or contact numbers) can be submitted directly to the attention of AP Vendor Inquiries ( [email protected] ). All vendor information changes require an updated W 9 and/or updated EFT form with an attached voided check. What if I was sent a payment in error? If a check was received in error, or for the wrong amount, return the uncashed check to the address below. If the check has been cashed in error, submit a check for the equivalent amount, payable to HCR ManorCare, and return to the address below. Please reference the original check number. If an EFT transfer was received in error, or in the wrong amount, please submit a check for the equivalent amount, made payable to HCR ManorCare, and return to the address below.
5 HCR ManorCare s Corporate Address: HCR ManorCare Attn: AP 7 th floor 333 N. Summit St Toledo, Ohio Electronic Funds Transfer (EFT) What benefits does electronic payment offer me? HCR ManorCare sends payment electronically directly from our bank to your vendor bank account. EFT runs will be processed on a weekly basis and payment transmitted accordingly. This results in on time payments, less paperwork and improved cash flow due to a faster secure payment. This is the preferred method of payment for HCR ManorCare. How do I get set up on EFT? If you have a bank account, HCR ManorCare can transmit the funds electronically to you. All you need to do is complete the EFT enrollment form, attach a voided check and submit to HCR ManorCare for setup. Will this cost me anything? No, there are no costs to the vendor. How will I know what HCR ManorCare is paying me for? Each week when the EFT payments are generated, you will receive an e mail with an Excel remittance attached. The remittance will provide facility name and number, invoice number, invoice date, invoice amount, payment ID and payment amount. Please be sure that you include a valid e mail address on your EFT enrollment form. It will take approximately 48 hours before the funds are in your bank account. What if my banking information changes? HCR ManorCare will continue to use the banking information on file until a new EFT enrollment form (with a voided check) is received. Once the completed form is received, it typically will take five business days to verify the banking change and update the system. What if my remittance e mail changes? If your e mail changes, contact AP Vendor Inquiries ( apvendorinquiries@hcr manorcare.com ). Please include your vendor name and vendor number that will be affected by this e mail change.
6 Electronic Data Interchange (EDI) EDI has proven to be the most efficient way of conducting business with our vendors by electronically sending and receiving core business documents. This systematic process of electronically exchanging key information adds value and improved functionality for both HCR ManorCare and our vendors. This enables us to improve customer service, lower expenses and streamline business processes by eliminating manual data entry. We expect our vendors to begin exchanging EDI transactions as soon they are assigned a specific vendor number. The process of EDI is accomplished by having business documents translated into EDI 810 format, version In order to conform to our EDI standards, each vendor must: Use a unique invoice numbering system for all invoices. Send all invoices via EDI. Provide the ability to cancel a particular invoice and re bill in the next EDI feed. UpNet Technologies If you don t have an EDI department in your company, UpNet Technologies may provide the ideal solution for your business. UpNet Technologies has pricing options for any size business and startup costs beginning at $200. UpNet Technologies will offer a dedicated account team to assist with any questions and make the transition as smooth as possible.
If you are currently using a factoring company, we will need a release letter from your factoring company.
Dear TranSource Carrier Network Member, As a transportation leader, TranSource LLC understands the pressures today s carriers face from rising fuel and insurance to a cash flow squeeze when shippers take
A Guide to Accounts Payable Supplier Processes
A Guide to Accounts Payable Supplier Processes The Johnson & Johnson Family of Companies believe in the benefits associated with the efficiencies gained through methods of electronic or paperless invoicing.
How To Get Paid Fast
Dear Schneider Carrier Network Member, As a transportation leader, Schneider understands the pressures today's carriers face from rising fuel and insurance costs to a cash flow squeeze when shippers take
Department of Veterans Affairs Financial Services Center 1615 Woodward Street Austin, TX 78772
Department of Veterans Affairs Financial Services Center 1615 Woodward Street Austin, TX 78772 Date: January 28 th, 2013 Dear Accounts Receivable Representative & Valued Vendor, President Obama signed
Version Date: 10/16/2013
2004094 Accounting Documents (ADVANTAGE Financial System Input) This record series is used to input information into the ADVANTAGE Financial System. The files may contain, but are not limited to: copies
SAO Cash Management Group To Be Process Flow
Centralized Accounts Payable (AP) Disbursement Generate Checks and Positive Pay file Distribute Checks Review AP Reports Exception Processing Create Control Group in Peoplesoft Accounts Payable (HIGHLY
SAMPLE ACCOUNTS PAYABLE. Policies & Procedures FOR. Version Edited By Edited Dates Comments 1.0 Irene Bushnell November 2015 Baseline
ACCOUNTS PAYABLE Policies & Procedures FOR Version Edited By Edited Dates Comments 1.0 Irene Bushnell November 2015 Baseline Intacct AP Policies & Procedures October 2015 2015 Synergy Business Solutions.
Data Exchange and Protocol Process Flows for Electric Deregulation in The State of New Jersey
Data Exchange and Protocol Process Flows for Electric Deregulation in The State of New Jersey Prepared by: The Consumer Process Working Groups July 17, 2000 Version 1.2 Table of Contents Table of Contents...
Chapter 4: Electronic Data Interchange
Electronic Billing NOTE: ELECTRONIC CLAIM SUBMISSION IS REQUIRED UNDER SECTION 3 OF THE ADMINISTATIVE SIMPLIFICATION COMPLIANCE ACT (ASCA), PUB.L. 107-105, AND THE IMPLEMENTING REGULATION AT 42 CFR 424.32.
Procure-to-Pay Best Practices
ITFMA Conference Procure-to-Pay Best Practices Integrating P2P Best Practices with Technology Chris Evanoff: Principal, Soltec, Inc. 1 Presentation Outline Introduction and Background Procure-to-Pay Cycle
EPS EFT Enrollment Authorization Agreement
EPS EFT Enrollment Authorization Agreement Optum is improving service to you by replacing paper checks and Explanation of Benefits (EOBs) with the Optum EPS solution. Get a head start by enrolling today!
PEOPLESOFT ENTERPRISE esettlements
PEOPLESOFT ENTERPRISE esettlements Relying on paper-based processes to pay for goods and services and to resolve disputes with suppliers can be costly, inefficient, and D KEY FEATURES Automated settlement
PEOPLESOFT esettlements
PEOPLESOFT esettlements Relying on paper-based processes to pay for goods and services and to resolve disputes with suppliers can be costly, inefficient, and D KEY FEATURES Automated settlement process
Old Dominion National Bank Consumer ebanking Access Agreement and Electronic Fund Transfer Act Disclosure
Old Dominion National Bank Consumer ebanking Access Agreement and Electronic Fund Transfer Act Disclosure Agreement This Agreement is a contract which establishes the rules governing your electronic access
The Benefits of Accounts Payable Integration in Electronic Invoice Presentment and Payment
The Benefits of Accounts Payable Integration in Electronic Invoice Presentment and Payment How to Use this Presentation This presentation will be invaluable to those who seek to articulate the benefits
Transform Invoice Management with a Hybrid of Cloud and On-Premise Software
SAP Brief SAP Business Suite SAP Invoice Management Objectives Transform Invoice Management with a Hybrid of Cloud and On-Premise Software Achieve a higher level of performance Achieve a higher level of
Electronic Funds Transfer Disclosure Agreement
Electronic Funds Transfer Disclosure Agreement Your use of any EFT service offered by the Bank will be governed by this Disclosure and by any separate agreement or disclosure that also applies to the EFT
CLAIMS Section 5. Overview. Clean Claim. Prompt Payment. Timely Claims Submission. Claim Submission Format
Overview The Claims department partners with the Provider Relations, Health Services and Customer Service departments to assist providers with any claims-related questions. The focus of the Claims department
COUNTY OF TRINITY CASH HANDLING PROCEDURES
COUNTY OF TRINITY CASH HANDLING PROCEDURES Prepared by the Trinity County Auditor/Controller s Office Revised October 1, 2009 TABLE OF CONTENTS I. Introduction--------------------------------------------------------------------1
Pharmacy Operating Guidelines & Information
Pharmacy Operating Guidelines & Information RxAMERICA PHARMACY BENEFIT MANAGEMENT Pharmacy Operating Guidelines & Information Table of Contents I. Quick Reference List...3 C. D. E. Important Phone Numbers...
Payment Partner (Online Bill Pay) Terms and Conditions
Payment Partner (Online Bill Pay) Terms and Conditions A. Personal Users of Payment Partner B. Small Business Users of Payment Partner Atlantic Stewardship Bank s Payment Partner Terms and Conditions are
Electronic Payments & Statements (EPS) Frequently Asked Questions (FAQs)
Electronic Payments & Statements (EPS) Frequently Asked Questions (FAQs) Note: EPS features contained within these FAQs may not be applicable to all Payers. General Questions 1. What is Electronic Payments
Brinker Invoice Requirements Last Updated: 1/1/05. Policy Guide
Brinker Invoice Requirements Last Updated: 1/1/05 Policy Guide Brinker International makes payments against valid original invoices. The following Brinker International invoice requirements will ensure
Online Banking Agreement
Online Banking Agreement Please read the Terms and Conditions below and "sign" below, by checking the box below and click submit. We recommend that you print a copy of this document and maintain a copy
Xavier University. Policy and Procedure Purchasing Card Program. Purchasing Card Program Policy and Procedure
Xavier University Policy and Procedure Purchasing Card Program Table of Contents 1.0 Introduction 1.1 Purpose of this Policy and Procedure 1.2 Program Vision 1.3 University Credit Card Partner 1.4 Constituents
Home State Bank Online Access Agreement
Home State Bank Online Access Agreement Introduction Before you begin using this service, please read these terms and conditions carefully. By selecting the "I Agree" button below and through the continued
Enrollment Guide for Electronic Services
Enrollment Guide for Electronic Services 2014 Kareo, Inc. Rev. 3/11 1 Table of Contents 1. Introduction...1 1.1 An Overview of the Kareo Enrollment Process... 1 2. Services Offered... 2 2.1 Electronic
for Sage 100 ERP Accounts Payable Overview Document
for Sage 100 ERP Accounts Payable Document 2012 Sage Software, Inc. All rights reserved. Sage Software, Sage Software logos, and the Sage Software product and service names mentioned herein are registered
EDI Enrollment Status Messages and Descriptions
EDI Enrollment Status Messages and Descriptions APPROVALS Approved Claims Approved Remits Approved - Claims/Remits Approved Provider Approved DDE/PPTN Approved -New vendor Approved - Production Completed
Guide for End-of-Year AP Best Practices
HOW-TO Guide for End-of-Year AP Best Practices 2015-2016 Contents Year-End Checklist for Accounts Payable Sample Year-End Calendar Master Vendor File Clean-Up and Maintenance 1099 Misc. Reporting and Corrections
FAYETTEVILLE STATE UNIVERSITY ACCOUNTS PAYABLE AND TRAVEL POLICY
FAYETTEVILLE STATE UNIVERSITY ACCOUNTS PAYABLE AND TRAVEL POLICY Authority: Category: Issued by the Chancellor. Changes or exceptions to administrative policies issued by the Chancellor may only be made
CHAPTER 13: PROCUREMENT IN CHAOS - SUPPLEMENTAL MATERIAL
CHAPTER 13: PROCUREMENT IN CHAOS - SUPPLEMENTAL MATERIAL Brian G. Rosenberg From the book The Next Wave of Technologies: Opportunities in Chaos by Phil Simon Electronic Invoicing There is a significant
Welcome to PSE&G s Third Party Supplier Electric Workshop
Welcome to PSE&G s Third Party Supplier Electric Workshop Purpose of Presentation To communicate essential information to Third Party Suppliers about participating in Retail Choice and Customer Account
EDI Solutions Your guide to getting started -- and ensuring smooth transactions bcbsga.com/edi
EDI Solutions Your guide to getting started -- and ensuring smooth transactions 00175GAPENBGA Rev. 12/11 This brochure is a helpful EDI reference for both new and experienced electronic submitters. It
You have retained us and we hereby agree to serve as your advertising agency in accordance with and subject to the following terms and conditions:
Contract Between an Advertising Agency and Advertiser Form #8 (Fee v. Commission) Date: [Client] [Address] Gentlemen: You have retained us and we hereby agree to serve as your advertising agency in accordance
Chapter 5 Claims Submission Unit 1: Benefits of Electronic Communication
Chapter 5 Claims Submission Unit 1: Benefits of Electronic Communication In This Unit Topic See Page Unit 1: Benefits of Electronic Communication Electronic Connections 2 Electronic Claim Submission Benefits
TREASURER S DIRECTIONS CASH MANAGEMENT INTRODUCTION Section C1.1 : Overview
TREASURER S DIRECTIONS CASH MANAGEMENT INTRODUCTION Section C1.1 : Overview STATEMENT OF INTENT Cash management is an important element in the efficient and effective management of public money. This Section
INFORMATION YOU CAN MANAGE. JD Edwards World Financial Management
INFORMATION YOU CAN MANAGE JD Edwards World Financial Management Streamline financial operations. Make decisions based on accurate information. Respond quickly to change. INFORMATION YOU CAN MANAGE Financial
CITY OF LAREDO PURCHASING DIVISION TERMS AND CONDITIONS OF INVITATIONS FOR BIDS
TERMS AND CONDITIONS OF INVITATIONS FOR BIDS GENERAL CONDITIONS Bidders are required to submit bids upon the following expressed conditions: (a) Bidders shall thoroughly examine the specifications, schedule
EagleBank Online Service Agreement and Electronic Funds Transfer Disclosure
EagleBank Online Service Agreement and Electronic Funds Transfer Disclosure No one from EagleBank will ever contact you in any form (fax, letter, email, phone call, etc.) and ask you to provide your online
Stated below are the SCIRE activity level control objectives for purchasing and accounts payable.
SCIRE PURCHASING AND ACCOUNTS PAYABLE AND SUMMARY The goals of the purchasing function at SCIRE are to achieve open, competitive and costeffective buying, while adhering to external funding sources for
The Science of Credit Card Processing
The Science of Credit Card Processing Page 1 Credit Card Processing How does credit card processing work? You may receive credit card payments from customers from a variety of sources. You may swipe their
Accounts Payable Outsourcing
Accounts Payable Outsourcing OVERVIEW- ACCOUNTS PAYABLE PROCESSING The findings of a recent accounts payable study highlights the common errors and issues faced by the accounts payable department. They
National Government Services, Inc. Durable Medical Equipment Common Electronic Data Interchange. Vendor and Trading Partner Frequently Asked Questions
National Government Services, Inc. Durable Medical Equipment Common Electronic Data Interchange Vendor and Trading Partner National Government Services, Inc. was awarded the Durable Medical Equipment (DME)
MEDICAID TEXAS (TMHP1) ERA ENROLLMENT INSTRUCTIONS
MEDICAID TEXAS (TMHP1) ERA ENROLLMENT INSTRUCTIONS WHAT FORM(S) SHOULD I DO? Electronic Remittance Advice (ERA) Agreement WHERE SHOULD I SEND THE FORM(S)? Fax form to 512-514-4228; or Mail form to: Texas
Getting Started Using CC Merchant for Trams Back Office
Getting Started Using CC Merchant for Trams Back Office System Requirements Trams Back Office - Version 3.01 or higher Microsoft Internet Explorer 6.0 or higher Internet Connection The CC Merchant feature
Electronic Data Interchange (EDI) Trading Partner Agreement
Electronic Data Interchange (EDI) Trading Partner Agreement THIS ELECTRONIC DATA INTERCHANGE TRADING PARTNER AGREEMENT (the Agreement ) is made as of (date) by and between Ameren Services Company, for
EDI Solutions Your guide to getting started -- and ensuring smooth transactions anthem.com/edi
EDI Solutions Your guide to getting started -- and ensuring smooth transactions anthem.com/edi 00175CEPEN (04/12) This brochure is a helpful EDI reference for both new and experienced electronic submitters.
Accounts Payable Automation
Accounts Payable Automation Dataline - a brief history Launched as privately owned company, based in Chatswood, Sydney. Became a leading proponent of distributed non-impact MICR technology We remain the
Accounts Payable Policies & Guidelines
Accounts Payable Policies & Guidelines Updated July 2014 The following outlines all of the policies and guidelines for the Accounts Payable function at Mount Saint Joseph University. The policies dictate
Office of Business and Finance
OBJECTIVE To establish procedures for review and payment of invoices for goods and services purchased by the university. POLICY Applies to: Faculty, staff, students, visitors, vendors Issued: 08/2000 Revised:
Make the most of your electronic submissions. A how-to guide for health care providers
Make the most of your electronic submissions A how-to guide for health care providers Enjoy efficient, accurate claims processing and payment Reduce your paperwork burden and paper waste Ease office administration
Management of Accounts Receivable
Management of Accounts Receivable December 1997 Contents Preface Introduction The Accounts Receivable Process Re-Engineering Accounts Receivable Risk Management Use of Advanced Technology Debt Collection
GONZAGA UNIVERSITY PURCHASING CARD CARDHOLDER GUIDELINES. Purchasing Card Guidelines DATE 7/31/2012
GONZAGA UNIVERSITY PURCHASING CARD CARDHOLDER GUIDELINES Purchasing Card Guidelines DATE 7/31/2012 Table of Contents Introduction General Guidelines - Card Issuance - Account Maintenance - Card Usage -
ACS Version 10.6 - Accounts Payable
ACS Version 10.6 - Accounts Payable Table Of Contents 1. Accounts Payable... 1 Accounts Payable Overview... 1 Accounts Payable Startup Outline... 2 Procedures Outline... 2 Customizing Program Defaults...
PROCESSING UTILITY PAYMENTS...
Function No. 20000 General TOPIC PROMPT PAYMENT Table of Contents OVERVIEW... 2 Introduction...2 POLICY... 2 Written Procedures...2 General Requirements...3 Payment Due Date...4 When Due Dates Don't Apply...4
Gateway EDI Client Website Help Document
Gateway EDI Client Website Help Document Learning your way around a new website can be tricky we know that! This document will serve as a cheat sheet for questions that may arise as you maneuver around
FAQ's. Introduction. Frequently asked questions about Epay Manager. For more information, please call 800.240.1824.
FAQ's Frequently asked questions about Epay Manager. For more information, please call 800.240.1824. Introduction This document was created to help you answer a few of the more common questions about Epay
Please distribute to all Spectra users in your company.
Release 7.1.1 2013 General Release January 2014 Please distribute to all Spectra users in your company. Support Email: [email protected] Visit us online at: www.spectra.ca Support Telephone: (866) 718-2345
Before submitting claims online you must complete the following form(s): Online Provider Services Account Request Form (www.valueoptions.
EDI RESOURCE DOCUMENT/ E-SUPPORT SERVICES PROVIDERCONNECT AND ELECTRONIC CLAIMS ValueOptions is committed to helping our providers manage administrative functions more efficiently and conveniently, and
Billing. Instructions. Information for Health Professionals billing the WSIB
Information for Health Professionals billing the WSIB Methods The WSIB accepts: n e-billing for services provided by health professionals n Mail or fax for all reports n Manual submissions for services
SECURE EDI ENROLLMENT AGREEMENT INSTRUCTIONS. Select if this is a new application, change of submitter, update.
Notification Secure EDI provides this agreement as a courtesy for our customers. We make every effort to keep these forms updated however; the payer may not always notify us when changes have been made
Electronic Data Interchange Agreement
Electronic Data Interchange Agreement F00021 DO NOT FAX ALL ATTACHED FORMS MUST BE SENT BY MAIL TO TMHP AT THE FOLLOWING ADDRESS: Texas Medicaid & Healthcare Partnership Attention: EDI Help Desk, MC B14
ELECTRONIC DATA INTERCHANGE (EDI) TRADING PARTNER AGREEMENT THIS ELECTRONIC DATA INTERCHANGE TRADING PARTNER AGREEMENT
ELECTRONIC DATA INTERCHANGE (EDI) TRADING PARTNER AGREEMENT THIS ELECTRONIC DATA INTERCHANGE TRADING PARTNER AGREEMENT (the Agreement ) is made as of, by and between Potomac Electric Power Company (Pepco),
Frequently Asked Questions (FAQs)
Frequently Asked Questions (FAQs) The University of Maryland College Park has established a VISA credit card purchasing program. This program has been developed in coordination with the State of Maryland
ACCOUNTING DEPARTMENT
EMPOWERING YOUR ACCOUNTING DEPARTMENT WHITE PAPER ACCOUNTING & AP AUTOMATION SPONSORED BY: ACCOUNTING & AP AUTOMATION In order for an organization to properly implement and utilize an electronic document
State Accounting Office
State Accounting Office State Accounting Manual Policies and Procedures Policy Number CM-100003 Section Name Cash Management Policy Name Payment Cancellation Effective Date Revised Date I. Purpose The
PNC BANK PNC PURCHASING CARD. Policy and Procedures
Saint Francis University PNC BANK PNC PURCHASING CARD Policy and Procedures October 2014 Table of Contents Introduction General Guidelines..Page 4-6 - Card Issuance - Purchase, Allocation and Statement
How To Use The Bankbook On A Pc Or Macbook
TheFinancialEdge Banks Guide 080714 2014 Blackbaud, Inc. This publication, or any part thereof, may not be reproduced or transmitted in any form or by any means, electronic, or mechanical, including photocopying,
Knox College PNC BANK PNC PURCHASING CARD. Policy and Procedures Manual
Knox College PNC BANK PNC PURCHASING CARD Policy and Procedures Manual March 1, 2014 Table of Contents Introduction General Guidelines..Page 4-5 - Card Issuance - Account Maintenance - Card Usage - Preferred
Smarter Construction Payment and Expense Processing with ecms Connect for Comdata Solutions
Smarter Construction Payment and Expense Processing with ecms Connect for Comdata Solutions Parsons Electric, J.F. Brennan Company, Comdata and Computer Guidance Put Your Money To Work Today! It is important
Cash Management User Guide
Cash Management User Guide Version 9.0 February 2006 Document Number CBUG-90UW-01 Lawson Enterprise Financial Management Legal Notices Lawson does not warrant the content of this document or the results
Table of Contents. Table of Contents 1. Voucher Approval Function 2 5. Worklist Search and Approval History 6. Budget Check Exceptions 7-9
Approver Table of Contents Table of Contents 1 Voucher Approval Function 2 5 Worklist Search and Approval History 6 Budget Check Exceptions 7-9 Regular Entry 10 Incomplete and Denied Vouchers 11 Delete
ActivHealthCare EDI User Guide
ActivHealthCare EDI User Guide Table of Contents Page Enrollment 2 Preparing Your Management Software 3 Claims Submission for AHC Network Affiliates 4 Online Entry Tool 7 Claims Follow-Up 8 Frequently
Agreement to send electronic New York Medicaid claims
Agreement to send electronic New York Medicaid claims This agreement must be completed and approved by New York Medicaid prior to sending electronic New York Medicaid claims through Secure EDI. 1. General
Purchasing Card Information
Purchasing Card Information Model cardholder instructions for agency and campus internal procedures May 2006 Introduction Welcome to the State of Wisconsin s Purchasing Card Program. This user manual is
Agreement to Send Electronic Florida Medicare
Agreement to Send Electronic Florida Medicare Instructions for completing this form: 1. Complete one agreement for the group. 2. Please complete the following: EDI Enrollment Form, Section C Complete the
How To Pay A Bank Transfer At The University Of Central Florida
ELECTRONIC FUNDS TRANSFER PROCEDURE MANUAL Effective Date: 7/1/2012 Updated: July 25, 2012 Contents Introduction... 1 Incoming EFTs:... 3 ACH/Wire Transfers received... 3 Outgoing EFTs... 3 Student Direct
Department of Purchasing & Contract Compliance
Department of Purchasing & Contract Compliance Felicia Strong-Whitaker, Purchasing Director REQUEST FOR E-QUOTE NUMBER: 15RD99627B PROJECT TITLE: Barracuda Web App Firewall 460Vx Support and Licenses Information
Supplier Relationship Management Analysis PURCHASING FINANCIAL SUPPLIER BUYER PERFORMANCE ANALYSIS PERFORMANCE PERFORMANCE
Supplier Relationship Management Analysis PURCHASING FINANCIAL SUPPLIER BUYER PERFORMANCE ANALYSIS PERFORMANCE PERFORMANCE Organizations today are spending as much as 60 percent of their revenue acquiring
XCEL ENERGY S ebill AND ebill PAYMENT TERMS OF USE
XCEL ENERGY S ebill AND ebill PAYMENT TERMS OF USE 1. Introduction CAREFULLY READ ALL OF THESE TERMS OF USE BEFORE PROCEEDING. IF YOU DO NOT ACCEPT SUCH TERMS AND INDICATE YOUR ACCEPTANCE BELOW, THEN YOU
Ithaca College Purchasing Card Policy
Ithaca College Purchasing Card Policy I. Policy Statement Ithaca College maintains a purchasing card program that allows authorized individuals to make specific, business-related purchases of non-travel
Optimizing Your Accounting Process with Electronic Invoicing. A GXS White Paper for the Active Business
Optimizing Your Accounting Process with Electronic Invoicing for the Active Business Competitive pressures continue to force companies worldwide to seek further cost efficiencies and to improve visibility
Page intentionally left blank
Page intentionally left blank To maximize its usefulness, this guide is designed to be: Printed duplex Three-hole punched Inserted into a binder or folder Liquid Capital Southwest: Factoring Guide Page
TOSHIBA GHOST CREDIT CARD (Toshiba Card) Frequently Asked Questions (FAQs)
TOSHIBA GHOST CREDIT CARD (Toshiba Card) Frequently Asked Questions (FAQs) Here is a list of the most commonly asked Toshiba Ghost Credit Card Program questions with corresponding answers enumerated below:
CITY OF MARTINSVILLE REQUEST FOR PROPOSALS UTILITY BILL PRINTING & MAILING SERVICES SEPTEMBER 22, 2015
CITY OF MARTINSVILLE REQUEST FOR PROPOSALS UTILITY BILL PRINTING & MAILING SERVICES SEPTEMBER 22, 2015 The City of Martinsville is seeking proposals from qualified contractors to provide Bill Printing
REQUEST FOR PROPOSAL FINANCIAL PLANNING CONSULTANT
REQUEST FOR PROPOSAL FINANCIAL PLANNING CONSULTANT Proposals will be received until Friday, May 22, 2015 4:00 p.m. CST General Information Questions: All inquiries for information regarding this solicitation
CHAPTER 7 (E) DENTAL PROGRAM CLAIMS FILING CHAPTER CONTENTS
CHAPTER 7 (E) DENTAL PROGRAM CHAPTER CONTENTS 7.0 CLAIMS SUBMISSION AND PROCESSING...1 7.1 ELECTRONIC MEDIA CLAIMS (EMC) FILING...1 7.2 CLAIMS DOCUMENTATION...2 7.3 THIRD PARTY LIABILITY (TPL)...2 7.4
SUPPLIER PAYMENT GUIDE
SUPPLIER PAYMENT GUIDE Expectations and requirements to facilitate accurate and timely payment to suppliers Table of Contents 1) Procure-To-Pay Cycle 2) Payment Process Overview 3) Payment Terms 4) Submittal
Workday AP Questions & Answers (FAQs)
Workday AP Questions & Answers (FAQs) 1 P a g e Q. Will there be I# in Workday? A. No, Workday will replace I# with supplier# which will start with SUPP_INV that generates when you use Create Supplier
Online Banking Agreement and Electronic Funds Transfer Disclosure For Businesses
Member FDIC Online Banking Agreement and Electronic Funds Transfer Disclosure For Businesses This Agreement and Disclosure provides information about the Jewett City Savings Bank Online Banking service
Your Guide to Going Global with AP Automation. Donna Sawyer Paymode-X Product Manager, Bottomline Technologies
Your Guide to Going Global with AP Automation Donna Sawyer Paymode-X Product Manager, Bottomline Technologies Agenda Automating Global AP A Case Study for Global EFT Key Considerations When Automating
