Use This report generates a list of invoices for a specific case, and showsthe current processing status of these invoices (if, for example, theinvoice items have already been settled). This report is designed specifically for the Singapore country version,and uses logical invoice numbers when it generates the list ofinvoices. Prerequisites The billing functionality in your IS-H release must use logical invoicenumbers. At the moment, only the Singapore country version uses logicalinvoices. This means that all invoices pertaining to an inpatient caseor the visits involved in an outpatient case are assigned to the samelogical invoice. When an invoice is cancelled, the logical invoicenumber is copied to the cancellation document. Features Selection Screen On the selection screen of this report, you can specify the case forwhich you want to generate an invoice overview. The report outputs allinvoices and cancellations pertaining to this case up to an includingthe key date specified (billing date). You use the Test print> and No repeat print> fields tospecify how the invoices should be printed from the list screen.Output The report outputs a list of all invoices that were created up to andincluding the key date specified on the selection screen. Thishierarchical-sequential list also takes cancellations and provisionalinvoices into account. The invoices and cancellations are sorted bylogical invoice number. Billing documents (invoices, for example) withthe same logical invoice number appear as subitems under the logicalinvoice number in question. The following information is displayed inthe list.
- The status column (PsSt>) tells you whether data was transferred
to Accounting. ,,Status,,,,,,,,Meaning ,,C,,,,,,,,Transferred successfully ,,B or blank,,,,,,,,Errors detected ,,A,,,,,,,,Not yet transferred ,,E,,,,,,,,Errors detected, completed
- The Clearing> column contains the clearing date of invoices that
were cleared (settled) by incoming payments in Financial Accounting.
- The column entitled A> shows whether an invoice was archived
during a live print run.
- The Gross value> column is used to total up values (provided that
all the items that appear in this column use the same currency). Ifdifferent currencies are used, you can add an additional field to thelist and display the gross values at both the header and item level.This field is called Gross value in local currency>, and you caninsert it by choosing Settings -> Display variant -> Current>.This new column displays the original amounts expressed in the localcurrency. Since a uniform currency is used, the values in this columncan be totaled. The corresponding invoice date is used as thetranslation date.
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