Deal Types
Plan Building
Validations
The End is Near
Reconciliation
100

This deal type is when an existing client needs a new code setup within Paycom where they are moving existing employees. This could be due to multiple reasons.

SPIN

100

These are added in Paycom so employees can go in and look up details to their benefit plans.

Plan Documents or Plan Attributes

100

This is completed by the BAC with the client. This information needs to match what is entered into Paycom. 

Benefit Plan Questionnaire 

100

In this tab, a client can approve and send to payroll the Guarantee Issue amount, and leave the full amount pending.

Approve

100

After benefit elections are imported, this is the first thing you should do. 

Generate a Recon Report and run the macro. Make sure that all deductions in form 2 match form 13.

200

This deal is a brand new Paycom client. They are typically a smaller company, and have a due date of 5 weeks post FCD.

Inside Sales

200

These are used to determine what plans and rates are offered to different groups of employees within a company. 

Benefit Eligibility Profiles

200

This needs to be formatted before an import can be done. 

Census

200

This tab in Batch Benefit Changes is used to view, approve, and/or send to payroll elections that employees have made, but have not finalized or signed and submitted.

In Progress Tab

200

This will show you if there are any deductions in form 2 that do not have a corresponding deduction in form 13.

Reverse Recon

300

This service is purchased when a client wants Paycom to help them set up their Open Enrollment, and be available for system questions during OE.

Benefit Enrollment Service

300

Accident plans are typically set up as this type of plan.

Health, Dental, Vision

300

On an enrollment validation, these counts must match.

Census Enrollment Counts and Counts on Recon

300

This displays employee's enrolled benefit plans with current coverage and deduction dates. Enrollment is broken out into six different tabs based on the status of the benefit plan.

Batch Benefit Changes

300

The Reverse Recon compares these two reports.

Reconciliation Report and Scheduled Deduction Report.


400

This is a brand new Paycom client. The due date is 5 business days before the FCD. 

TSR

400

Critical Illness plans are typically set up as this type of plan.

Life

400

These employees must be in a Benefit Eligibility Profile.

ALL

400

This tab in Batch Benefit Changes is used to update elections. 

Make Changes Tab

400

In order to recon the FSA/HSA elections, these must be entered.

YTDs

500

This BA Implementation is for an existing Paycom client. Your due date is 6 weeks from date assigned.

CRR

500

This option allows clients to set up Life or Disability plans so that an employee can elect the same amount as last year, without submitting an EOI. 

Guarantee Issue Options

500
We must list all of these, and note which were used in benefits and which are not benefit related. 

Deductions

500

This tab will show an election in red, if a change has occurred that will effect the election amount and/or deduction amount, and it needs to be updated and resent to payroll. 

Recalculate Benefit Plans

500

The Benefit Reconciliation process should confirm these three things.

Employees have the correct deductions in payroll.

Employees are enrolled in the correct plans for both EE elected and Company Sponsored plans.

Payroll is accurate.