Contract Payment Types: Payments Comprehensive Insurance
Payment type structures, posting classes, and setup
Payments Comprehensive Insurance
Use the payment type Comprehensive Insurance to set-up a payment schedule to make payments to your insurer.
This is only available when it has been set up for use in the Contract Types / Payments tab.
Payment Types
Finance
Finance - Principal and Interest
Comprehensive Insurance
Roadside Assistance
Management Fee
Sundry Payment
Sundry Payment - Packaged
Payment Structures
Fields
Payment Type (Drop List) — Choose 'Comprehensive Insurance'.
Payee (Text) — This field will be blank unless the contract is being salary packaged. This is a read-only field.
Payment Method (Text) — This field will be blank unless the contract is being salary packaged. This is a read-only field.
Schedule (Drop List) — Displays the "Supplier Code", "Supplier Ref" and "Final Payment Due" of the selected schedule. The presentation is 'Code - Ref - Due'. If there are multiple schedules, the active schedule is displayed. The active schedule has an Asterisk appending the display, e.g. 'Code - Ref - Due*'. Other schedules can be shown if selected. Selecting --ALL-- will display all schedule records from oldest to newest.
Supplier (Lookup) — The Contracts / Insurance "Insurer" will be displayed as the supplier being paid.
Changes made here will also update the Contracts / Insurance "Insurer" field.
Supplier Ref (Text) — For new schedules, this value defaults from Contracts / Insurance "Policy Number". This can be updated.
Changes made here will also update Contracts / Insurance "Policy Number" field. Access to this field is controlled via Role Restrictions.
Comprehensive Insurance (Num) — Defaults from "Base Cost" on the Insurance tab.
Changes made here will also update the Contracts / Insurance "Base Cost" field.
FSL (Num) — Defaults from "Fire Service Levy" on the Insurance tab.
Changes made here will also update the Contracts / Insurance "Fire Service Levy" field.
CSD (Num) — Defaults from "Stamp Duty" on the Insurance tab.
Changes made here will also update the Contracts / Insurance "Stamp Duty" field.
Insurance Fee (Num) — Defaults from "Broker Fee" on the Insurance tab.
Changes made here will also update the Contracts / Insurance "Broker Fee" field.
GST (Num) — Calculates GST for the regular payment. If the linked Contract Types / Payments “G” field is set as ‘N’, this field is hidden and value is set to 0.
Periodic Interval (Drop List) — Defaults from "Billing Frequency" on the Insurance tab. Changes require recalculation of values.
Changes made here will also update the Contracts / Insurance "Billing Frequency" field.
Due Day (Num) — Defaults to '1'. Used to calculate the day part of "Due Date" for period 2 onwards.
Total Payments (Num) — Populates from contract “Term” and can be changed.
1st Payment Due (Date) — First payment due date. Also used as Period 1 "Due Date". Subsequent dates are calculated based on interval and Due Day rules.
Final Payment Due (Date) — Calculated from "1st Payment Due" and "Total Payments".
On Hold (Check box) — Blank until set. See On Hold business rules.
Stop Payments (Check box) — Blank until set. See Stop Payments business rules.
Contract Totals
Life Billing Budget (Num) — GST exclusive total for Billing records in 'Posted' or 'Pending' status.
Life Payments (Num) — GST exclusive total for Payment records in 'Posted' or 'Pending' status.
Payment Schedules
Action Buttons
Print a PDF or CSV output of the Payment Schedule displayed on the screen.
Edit Pending rows (Date, Finance, CSD values).
During an "Edit", the CSD will not re-calculate automatically if Finance values are changed.
If the 'Period 1' row is edited, the "Initial Value" field will be updated with the new value.Insert a new line in a Payment Schedule. Period, Due Date and Payment components can be entered manually. The schedule re-sorts by Period. Inserted rows are placed in the same period schedule row and can contain negative values. The Insert function is intended for corrections.
Un-Post: Select posted rows using "#". The Un-Post button is enabled if permitted. Payment No can only be selected if status is "Posted". Users with access to Fleet / Payments / Periodic screen and posting permissions can unpost payments that have not been exported. If supplier payment_method is in ('direct-credit','bpay'), and required fields are populated, the row checkbox is disabled. If only pending transactions exist, checkboxes are hidden and the schedule can be deleted. Posted rows cannot be deleted.
Vary: Used to create a Stop Payment or modify the Payment Structure and rebuild pending transactions. Intended for global updates such as correcting amounts or extending term. Inserted rows are not changed.
Deleted rows in the outstanding date range will be recreated when a "Vary" is performed. Pending values are reset unless created via Insert.
Click to create required payment records.
Screen Legend
Pending — Red text; not yet posted.
Pre-Post — Black text on yellow background; partially processed and requires reset.
Posted — Posted transactions transferred to accounting system.
Stopped — Grey text/background; contract payments suspended.
History only — No accounting impact.
On Hold — Temporarily paused payments.