SI-TPA

Financial Dashboard

Total Claims

0

Click for details Go to Claims โ†’

Total Receivables

$0

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Total Reserves

$0

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Total Payments

$0

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Total Revenue

$0

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Recent Transactions

Claims Management

Manage all insurance claims. Use the "+ New Claim" button in the toolbar above to create new claims.

Chart of Accounts

Claim Details

Reserves Management

Add Reserves to Category

Move Reserves Between Categories

Initialize Carrier Funding

Creates receivable from carrier and allocates directly to reserve categories.

Reserve Activity Log

Process Payments

Process Payment

Payment History

Claim Transactions

Billables & Invoicing

Manage all billable items including TPA fees, passthrough charges, and expenses. All billables generate invoices and can include optional markup. Track what has been billed to clients and what revenue has been earned.

Revenue Summary for This Claim

Create New Billable

Internal Service creates a client invoice. Vendor Payment pays directly from bank using reserves (check "Include Markup" to also bill client).
Invoice Details

Generated Invoices

Billable Transactions

Export Claim Chart Structure

Developer Tools

Current Version: v2.3.0

Latest Update: Reserve architecture clarification (OFF-LEDGER), payment system redesign, debug center

Quick Actions

๐Ÿ’ฐ Financial Operations

๐Ÿ”ง System Reset