This page allows you to authorize the policy. You can modify the details of the policy before authorizing the policy. You can also include new assets or remove assets from the existing policy. You can authorize a policy that is in the “Fresh” status. The status of the policy is updated as “Active” if a blanket payment has been made.
This page also allows you to return the policy to the user who has created the policy for modifications. The status of the policy is updated as “Returned”. A policy in this status can be authorized after the modifications have been made.
Select the “Authorize Insurance Policy” link provided in the “Select Insurance Policy” page.
The “Authorize Insurance Policy” page appears.
The system displays the following:
Policy No |
The code identifying the insurance policy. |
Renewal No |
The code identifying the renewal. |
Status |
The status of the policy. It must be “Fresh”. |
Modify the following fields if required:
Policy Desc. |
A textual description of the policy (Alphanumeric, 40). Mandatory. |
Insurance Company Code |
Use the drop-down list box to select the code identifying the insurance company. All the insurance companies, which have been created earlier, will be available for selection in the alphabetical order. |
Policy Type |
Use the drop-down list box to select the type of the insurance policy. All the policy types that have been defined in the “Create Quick Code” activity of the “Quick Code Definition” business component and are in the “Active” status will be available for selection in the ascending order. |
Policy Amount |
The value of the policy (Decimal). Mandatory. The value entered in this field must be greater than zero. |
Premium Amount |
The premium amount which is due for the policy (Decimal). Mandatory. The value entered in this field must be greater than zero. |
Blanket Payment |
Use the drop-down list box to set whether a blanket payment has been made for the policy that you want to retrieve. The system displays “Yes” by default on launch of the page. |
Effective Period From |
The start date of the period during which the asset is covered by the policy (Date Format). Mandatory. |
Note: The date entered in this field must be before or the same as the date entered in the “To” field.
To |
The end date of the period during which the asset is covered by the policy (Date Format). Mandatory. |
Risk Coverage % |
The percentage of risk covered by the policy (Decimal). The value entered in this field must be greater than zero but lesser than 100. |
Enter the following fields in the “Asset Selection” group box to search for assets to be included in the policy.
Option |
Use the drop-down list box to select the option from “Upload” or “Specific Search”. |
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The system displays “Specific Search” by default on launch of page. | |
Asset Class Code |
Use the drop-down list box to select the code identifying the class to which the asset belongs. The asset classes that have been defined in the “Create Asset Class” activity of the “Asset Type Definition” business component and that are in “Active” status will be available for selection in the ascending order. |
Asset Location Code |
The code identifying the location in which the asset is available (Alphanumeric, 20). The location code must have been defined in the “Create Asset Location” activity of the “Asset Location” business component and must be in the “Active” status. |
Help facility available | |
Asset Group Code |
The code identifying the group to which the asset belongs (Alphanumeric, 25). The asset group must have been defined in the “Create Asset Group” activity of the “Asset Type Definition” business component and must be in the “Active” status. |
Help facility available | |
Finance Book |
Use the drop-down list box to select the code identifying the finance book in which the asset details have been posted. All the finance books that have been mapped to the login organization unit will be available for selection in the ascending order. The system displays “Blank” by default on launch of the page. |
Tag Status |
Use the drop-down list box to select the status of the tag that you want to retrieve from “Insured Tags”, “Uninsured Tags” and “All”. |
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The system displays “All” by default on launch of the page. | |
Value Type |
Use the drop-down list box to select the type of the value based on which the asset has to be retrieved for insurance. You can select from “Insurable Value”, “Asset Cost” or “Net Book Value”. |
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The system displays “Insurable Value” by default on launch of the page. | |
Asset Value From |
The starting value in the range of asset values for which you want to retrieve the asset details (Decimal). The value entered in this field must be greater than zero. |
Note: The value entered in this field must be lesser than or equal to the value entered in the “To” field.
To |
The ending value in the range of asset values for which you want to retrieve the asset details (Decimal). The value entered in this field must be greater than zero. |
Asset No |
The code identifying the asset that you want to retrieve for insurance (Alphanumeric, 18). You can enter the code in full or specify it partially using the “*” character. The system retrieves all the asset codes similar to the value entered here. |
Asset Desc. |
A textual description of the asset (Alphanumeric, 40). You can enter the description in full or specify it partially using the “*” character. The system retrieves all the assets that have descriptions similar to the value entered here. |
Cost Center |
The code identifying the cost center to which the asset has been mapped (Alphanumeric, 10). This cost center must have been defined in the “Create Cost Center / Unit” activity of the “Cost Setup” business component. |
Click the “Get” pushbutton to retrieve the asset details.
The system displays the following in the “Asset Information” multiline based on the search criteria entered:
Note: The system retrieves the details of the assets that are in the “Fresh” status.
Asset No |
The code identifying the asset |
Asset Desc. |
A textual description of the asset. |
Tag No |
The code identifying the asset tag. |
Tag Desc. |
The textual description of the asset tag. |
Tag Status |
The status of the tag. It could be “Insured”, “Uninsured Tags” or “All”. |
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Modify the following if required in the “Asset Information” multiline:
Premium Amount |
The premium amount due for the asset (Decimal). Mandatory. The value entered in this field must be greater than zero. |
The system displays the following in the “Asset Information” multiline:
Insurable Value |
The insurable value of the asset. |
Soft Revaluation No |
The number identifying the soft revaluation rule that been run in the “Asset Revaluation” business component. |
Finance Book |
The code identifying the finance book in which the asset details have been posted. |
Asset Class Code |
The code identifying the class to which the asset belongs. |
Asset Location Code |
The code identifying the location in which the asset is available. |
Asset Group Code |
The code identifying the group to which the asset belongs. |
Cost Center |
The code identifying the cost center to which the asset is mapped. |
Check the box in the “Select” column of the multiline to mark the assets that you want to remove from the policy, for which you want to calculate the total premium and those you want to add to a temporary list.
Note: At least one asset tag must be selected for deletion.
Click the “Delete Tags” pushbutton to remove the assets attached to the list.
The system removes the asset tag from the policy and reduces the policy count for the asset tag.
Click the “Compute Total” pushbutton to calculate the total premium amount for the assets.
The system calculates and displays the following:
Total Premium Amount |
The sum total of all the premium amounts entered in the “Asset Information” multiline. |
Note: This amount must be equal to the premium amount of the policy.
Click the “Add To List” pushbutton to add the assets to a temporary list before authorizing the policy.
The system saves the details of the assets to the list of assets already attached to the policy.
Click the “Show List” pushbutton to view the temporary list of assets before authorizing the policy.
The system retrieves all the assets that have been added to the list after multiple searches.
Click the “Authorize” pushbutton to authorize the insurance policy.
Status Updation
The status of the policy is updated to “Active” if “Blanket Payment” has been set to “Yes”.
The status of the policy is updated to “Fresh” if “Blanket Payment” has been set to “No”.
Note: The status of the policy is updated to “Active” when the sundry payment vouchers for the premium payment is generated.
The system calculates and updates the policy premium amounts by finance book.
The system updates the login ID of the user and the system date in the “Last Modified By” and the “Last Modified Date” fields.
Click the “Return Policy” pushbutton to return the insurance policy.
The status of the policy is updated as “Returned”.
The system displays the following:
Created By |
The login ID of the user who created the policy. |
Created Date |
The date on which the policy was created. |
Last Modified By |
The login ID of the user who has last modified the policy. |
Last Modified Date |
The date on which the policy was last modified. |
To proceed, carry out the following
Select the “Payment Information” link at the bottom of the page to modify the payment due information of the policy and generate vouchers.
Select the “Insurance Company Information” link at the bottom of the page to modify the details of the insurance company.
Select the “Attach Notes” link at the bottom of the page to modify any additional information entered regarding the insurance policy.
The system retrieves all the assets that have been added to the list after multiple searches.
Set the method for retrieving assets
Set the status of the tags to be retrieved
Add assets to a temporary list
Retrieve assets from the temporary list
Set the method for retrieving assets
You can select the method in which the asset details must be retrieved to be included in the policy.
Set the “Option” field to “Upload” if you want to retrieve the asset information from an external source like an MS-Excel sheet or an external database.
Set the “Option” field to “Specific Search” if you want to retrieve the asset information from the “Asset Capitalization” business component that has been mapped to the login organization unit.
Set the status of the tags to be retrieved
You can retrieve assets that have been insured under a policy type or assets that have not yet been insured.
Set the “Tag Status” field to “Insured Tags” if you want to retrieve assets that have been insured under one policy type.
Set the “Tag Status” field to “Uninsured Tags” if you want to retrieve assets that have not yet been insured under any type of policy.
You can remove assets that have been included in the policy.
Check the box in the “Select” column of the multiline to mark the asset that has to be removed from the list.
Click the “Delete Tags” pushbutton to remove the assets from the list.
The system removes the asset from the policy and reduces the count of the policy accordingly.
You can calculate the total premium amount that is due for the insurance policy.
Enter the individual amounts in the “Premium Amount” field.
Click the “Compute Total” pushbutton to calculate the total premium amount.
The system calculates and displays the total premium amount in the respective field.
Add assets to a temporary list
You can add assets that have to be insured to a temporary list till the policy is authorized.
Check the box in the “Select” column of the multiline to mark the assets that have to be added to the list.
Click the “Add List” pushbutton to add the selected assets to the temporary list.
Retrieve assets from the temporary list
You can retrieve the assets that have been added to the temporary list while modifying the insurance policy.
Click the “Show List” pushbutton to retrieve all the assets that have been added to the list.