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two way of creating the accountPayableare possible for the capitation, in both case there will be one “accountPayable” per HF
one asset (line) per weighted indicator I for product P : Allocated contribution/ Sum(indicator for P) as unit price , indicator I as quantity, (1-weight) as discount;
Population living in catchments area of the health facility
Number of families living in catchments area of the health facility
Insured population living in catchments area of the health facility
Insured number of families living in catchments area of the health facility
Number of claims (contacts) with the health facility by insured in the catchment area
Adjusted amount
[out of payment layer scope]asset (line) per product with the detail of the calculation as asset description
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field | type | comment | ||
HistoryBusinessModel fields |
| validFrom: claim date fromfirst day of batch validTo:claim date tolast day of bacth | ||
line_id |
| capitationPayment_id | ||
line_type |
| capitationPayment | ||
code | str | Paymentplan-Code | ||
description | str | Capitation payment | ||
details | json | capitation payment details | ||
ledger_account | int | N/A | ||
quantity | float | 1 | ||
unit_price | type | total to be paid | ||
deduction | float | n/a | ||
discount | float | n/a | ||
tax_rate | Calculation uuid | N/A | ||
tax_analysis | json |
| ||
amount_total | float | net | ||
amount_net | float | total |