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Patient/Insurance split

Question:  Why do transactions split amounts into Insurance and Patient fields?

Answer:  Transactions have amounts in both Insurance and Patient fields when there is a co-payment setup (Insurance Details tab)


See also
Screen explanation
Acute manifestation date
A facility is not defined for POS
Automatic Notes
Cash refund
Changing a patient number
Colors on transaction cards
Cleaning up Insurance Credits
Correct date of transactions
Credit card entry
Credits
Database Utilities
Error posting payment
Handling bounced checks
Inactive patient
Inactive provider
Initial Balance
Insurance Refund
Insurance Refund/ Transaction
Interest charge
Insurance interest payment
Inventory tracking
Late or delinquency fee
Maximum amount reached
NDC Code
New patient trigger
Patient refund
Patient visit totals
Procedure hot key
Purge/archive transactions
Receipt error
Receipt for previous date
Repeat function
Reprint a Receipt
Transaction icons
Transfer credit
Upgrading a person from a non-patient to patient