Final 1
Final 2
Final 3
Final 4
Final 5
100

This is the CIC call code that is entered into the action box to do a move out

What is CMO

100

This information needs to be entered before making any changes or updates on the Reference data screen during a move out

What is the Move out date

100

These four fields need to be confirmed/filled in during a move out

What is the forwarding address, forwarding phone number, adopt standard address and move out per (customers name)

100

This needs to be added and this needs to be changed for a move out for an Estate

What is adding The Estate of and change the dunning to FD 

100

This is the best question to ask if the customer is unsure what day to close their account

What is, when do you hand over the keys

200

This can be done by anyone, but a forwarding address cannot be taken if the person is not listed

What is close an account

200

This is the CIC call code that is entered into the action box to do a move in

What is CMI

200

Premise notes and premise history is checked for this during a move in

What is to determine if the customer appears to be switching names to avoid debt or disconnection

200

This is where you enter the dog information on the reference data tab during a move in

What is the meter reading notes

200

This is where you enter authorization for someone to listed as authorized on an account other than a spouse or roommate 

What is the communication instructions

300

This is the line you need to start your move out/in transaction

What is the premise line 'create move out/in'

300

This needs to be asked for/updated during a move in on the reference data tab

What is landlord/owner information

300

A yellow triangle on the contract line means this

What is a future dated move in

300

This needs to be done for an existing AN customer that has had perfect payment history for nine months and is moving to a premise with higher consumption where a Security Deposit is being asked for 

What is waive the security deposit

300

The first step when issuing a reconnection order is to put this in the clipboard

What is the premise

400

What button do you click on in the action box to issue a reconnection order

What is the Orders tab

400

What order type do you select when issuing a reconnection

What is reconnect credit

400

What activity type do you select when issuing a reconnection when the service was disconnected for no application being received

What is non-sign

400

These two fields need to have information in them to bill a reconnection order

What is the Material field and the Order Quantity 

400

This is the Material code for a reconnection charge

What is B5000

500

This needs to be in the clipboard prior to transferring an amount from one account to another

What is the from account number

500

These two fields need to be filled out in the transfer items screen (after you have entered TFRI)

What is the to account number and the Transfer reason

500

JOHN/P PAID $587.95 @ RBC, ADVISED F/S & NSD, ISSD REC - would be the prefect contact for this

What is reporting a payment for reconnection 

500

Residential Low Income customers can receive a free ESK if the income is below this 

What is a predefined threshold according to Statistics Canada’s Low Income Cut Off (LICO) scale 

500

This is the maximum number of accounts that as an agent we can establish on Collective invoicing 

What is three