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Insurer Account Payout Report
Purpose This will show all Insurer Account and Loan Transactions that will be included in the Payout run The report will show the amount paid, amount held and amount to paid for each loan to be paid out This report will also show the reason why a ...
Insurer Account Status Report
Purpose Provides details of the Insurer account current and future ledger balances Accrued Interest may also be reported Export report data option can be used to review additional set up structures that have been applied to the insurer accounts (such ...
Manage Dealer or Insurer Account Transactions
Purpose Full or Partial amounts may be held from payment to a Dealer or Insurer using the function Timing Amounts must be held prior to the Dealer Payout Process or Insurer Payout Process being run Access Dealer or Insurer Accounts Only From within ...
Reconciling Insurer Accounts
Purpose Insurer Accounts record transactional activity generated from Fixed Loan and Variable Loan modules when insurance is financed. These transactions result in balances that are normally paid out to insurer creditors, or in some cases is ...
Payout Distributor Balances
Purpose To automatically pay to Distributors the amounts that are due to them by Direct Credit or cheque Distributor accounts can be selectively excluded from this process Timing This process is usually run towards the end of the day Access ...