2011-10 Release - Iriki Minor Development
20300: CABS Billing from OCN Support
CABS System Enhancements
Billing
TBS CABs system now supports
the ability to identify a customer and bill by OCN. Previously, there were
large amounts of “CIC_0” traffic that was not able to be processed as it
couldn’t be tied back to a customer. The CABs interface now supports the
ability to apply multiple OCNs to a customer which can be used in billing if
needed. Processing will still look for CIC initially, but can now fall
back to the OCN if the CIC is invalid or unavailable.
Additional
changes within the CABs system to support this new billing
feature:
--There is a new OCN's tab on the Customers screen.
--CIC is
no longer a required field on the Customers screen.
--There is a new OCN
search option on the Customer browse/search screen.
--The billing process now
refers to the OCNs table to identify its own OCN's - this table should be kept
up to date and now allows multiple OCN's per state.
--Unbilled data is now
being handled slightly different for cleaner reporting. One impact of this
is that unbilled Invoices are no longer created.
--CDR Groups now support
Unbilled CDR's that have been forwarded from previous bill runs (for example,
due to being under a minimum billing amount).
Invoices & Email
Billing
Precision has integrated a new documents repository that will
maintain all PDF invoices and EMI files. This new repository allows for a
more streamlined approach to delivering invoices and email bills.
Billing
e-mails no longer attach the Invoice and EMI files directly but instead include
secure links to the documents repository. This will aid in reducing email
bandwidth and increase sending efficiency. Note - these can still be
downloaded easily to a local machine. The following naming conventions are
now used:
--Invoices are now named using BillDate_AccountNumber.pdf
instead of AccountNumber.pdf.
--EMI files are now named using
BillDate_AccountNumber.zip instead of CIC.zip.
E-mail templates now
support fields that provide links to the Invoice and EMI files. The
Application Settings screen now contains links to two e-mail templates instead
of one. One template is for customers who receive e-mail bills with EMI
file links and one template is for those without them. Support will
initially create the additional e-mail template required. These templates
can be maintained as before using the Email Content administration tool.
Reporting
Given the OCN billing changes as well as some
additional outstanding requests, the following report changes have also been
implemented with this release.
--New report: "Call Summary By State,
Jurisdiction"
--Added BatchID Filter to Transaction Summary report
--Added
Posting Date filter to Transaction reports
--Added Posting Date column to
Transaction Detail report
--Added address fields to Billing Summary report
(this report should now be suitable for a mail merge from word processing
programs)
--Reports have had prefixes added to their names to help keep
similar report types together.
--CIC Filters have been replaced with Account
Number Filters.
21715: EPX Response Code 85 Notification
EPX recently announced that credit card authorization response code 85 may be
returned (at the issuer’s
discretion) to merchants who submit account
verification (zero-dollar) transactions to Visa and MasterCard.
The 85
response code indicates that the card issuer has no reason to decline the
transaction. Previously, only response codes of 00 were accepted.
TBS now accounts for both 00 and 85 response codes. This applies
to AVS transactions only.
21880: Transaction Posting - Trans Class description bug
Fixed a bug on the Transaction Posting page. The Transaction Classification Description was being filled to "- Select -" when the item of the same name was being selected in the drop down above.
21950: User Maintenance Permissions Rights
Please note that a new security module has been added to TBS. The new
module, MaintenanceSecurity Module will control access to the T4Users and
T4Groups Admin screens.
All current Admin users will automatically
receive access to this module with the release. Please just note that
going forward, if a user needs access to administer system users and security
settings, they will need this module in addition to the regular "Maintenance"
module.
to this new module
- Create script to update existing
T4Groups with Maintenance rights to include this new module.
21978: Master Case: Reports - Customers Moved to Flex
The following "Customers" Crystal Reports have been removed from the Reports
- Customer menu and added into FlexQL Customers report group.
--Customer
List
--Customers Without Termination Date
--Total Lines
--Active
Customers
--Active Lines
--Customers with Expiring Terms
20116: Corporate Master Account Enhancements
Several enhancements have been made to support Corporate account billing for clients on the new Billing System.
Previously, the Billing Info tab would not show both the rollup summary information from sub accounts along with any billing that occurred at the corporate level.
Two grids are now available for Corporate Master accounts. The Corporate invoices grid will show the Corporate rollup invoice and summary information, while the standard PTT invoices grid will show the PDF and any billing that occurred as the corporate level.
20117: Corp Account Invoice Viewer
Corporate invoices can now be viewed in the invoice viewier.
20120: Corporate Printer file creation
Please note, in support of the Corporate Master Account enhancements, there will now be two invoices for a corporate master account in the printer files. One for the Corporate Master rollup and one for any billing that occurred at the corporate level (not rolled up from subs).
20122: Email billing for Corporate Master accounts
To support the new Corporate Master invoice, clients that utilize the new
Billing System will now have the feature of Corporate Email billing.
The process has been updated to send the corporate customer two emails,
one reflecting the corporate master account rollup, and one reflecting the
corporate sub account with the same account number as the master. Both emails
use the Billing Email on the Corporate Master account.
15056: Handling Credits on Corporate Accounts
For clients on the new Billing System, crediting invoices for Corporate Sub
accounts is now available.
Full and partial invoice credits can
now be applied from the Corporate Master Invoice Viewer, the standard Invoice
Viewer for the Corporate Master and from the Sub Account Invoice viewer.
The process takes into account the CorpAccountPays flag and places the
transaction on the appropriate account.
21951: Question on new Taxes process
Fixed a bug on the Transaction Posting screen. If the Transaction
Classification description was changed and we were doing taxing, the change was
not saved.
Also, when crediting invoices, a full invoice was credited,
and we attempted a normal credit on a different account, the page was performing
a partial invoice credit on the first account selected.