AE Tips and Tricks
BenefitSolver
AdaptiveWork
Scorecard
Pre Post Compare
100

This Macro can be used to ensure correct rates and surcharges are showing for prior plan year adjustments.

What is the AE Rate Update Macro

100

If we administer COBRA, this is what should show under 'Structures' when reviewing the Billing Rules for COBRA subgroups.

What is 'Multiple'

100

This is what you add to the notes section of the AW task 'Financial Reporting - Complete Peer QA Billing Setup & AE Scorecard'

What is, notate results and add link to zipped folder containing the Scorecard, Check, and any reports used.

100

This is when the flex/flex 2 plan anniversary dates need to be updated.

When the plan is peramount, and the date is not the same as the effective date of the new plan year.

100

Under the MB_Type Column, these types need to be reviewed during the pre / post compare process

What are the ADJ-Credit and ADJ-Debit MB types

200

Where you can track AE tasks for your clients.

What is the AE Billing Tracker

200

This is where AE information is stored in BenefitSolver.

Where is Company - Discovery - Annual Enrollment

200

What you do when the date of the AW task named 'Data Load Scheduling and Requirements Gathering' does not match the run date of the new plan year.

What is discussion the CSL and request to have the AW task date updated

200

This is when the scorecard can be started.

When AE closes

200

This is how you find missing adjustments

What is, use the concat or concatenate and vlookup or xlookup formulas to compare credit and debit adjustments on both the pre and post billing downloads.

300
These clients need to review and approve their first invoices of the new plan year.
Who is, all billing clients.
300

This is how you create a billing guide for the new plan year.

What is, Edit event, change effective date to new plan year effective date, select all applicable divisions and save, then update with any changes for the new plan year.

300

This AW task is used to resolve errors found during the Peer Billing Setup QA task.

What is the AW task named 'Resolve Peer Billing Setup QA Errors.'

300

These reports need to be run to complete the AE scorecard.

What are: 

LTD STD Billing Plan Report

Billing Location Group Structures

Billing Rule Export

Invoice Setup Report 

Plans Export

Structure Info Report

ASO Report

300

These are the adjustments you need to review prior to importing the missing adjustments

What are any v or x lookups results that are n/a