INSIS
General Insurance
User Documentation
Accounting
February 12, 2013
Preface
Definitions
Accounting Process ____________________________________________________________ 2
Instructions
View GL transactions ___________________________________________________________ 3
View Outstanding Loss Reserve ____________________________________________________ 5
View Unearned Premium Reserve ___________________________________________________ 6
Glossary
Attributes Appendices
GL Transactions Attributes _______________________________________________________ 9
OLR Attributes _______________________________________________________________ 11
UPR Attributes _______________________________________________________________ 12
Transaction Types ____________________________________________________________ 13
Accounting
Preface
Preface
The ''Accounting'' module of INSIS takes care of the automatic generation of all General Ledger transactions for all
INSIS modules. The generation is attached to an applicable event during system setup.
The module encloses main functionality for:
Display information about General Ledger (GL) transactions
Display information about Outstanding Loss Reserve (OLR) reserve
Display information about Unearned Premium Reserve (UPR) reserve
Additional functional features of the module include:
Smooth integration with other INSIS modules, such as Billing and Collection.
This tutorial is for Insurance company staff who deal with accounting, as well as for actuaries and others tracking
reserves.
Keywords
Accounting, GL, OLR, UPR, General Ledger, transactions
Prerequisites
This section describes all of the prerequisite steps that you need to complete before start working with the Accounting
module within the INSIS application. For the prerequisite steps see:
Accessing INSIS Application
INSIS Interface
INSIS Search Engine
Definitions
Accounting
Definitions
Accounting Process
INSIS generates a particular General Ledger transaction based on the event to which it is attached during the setup
process. All transactions are stored in one place, but can be filtered by policy or period. INSIS can be integrated with
external financial systems and based on the particular implementation the data that INSIS prepares can be sent for
further processing by the external system.
Accounting
Instructions
Instructions
View GL transactions
To check the accounting transactions generated for a single policy, or for all policies within a specific period, go to
GEN Accounting > Transactions and follow the procedure below:
Step 1
Use the search facility located on the right side of the frame to retrieve the transactions for either a particular policy, or
a particular period.
You can search by one or more of the following policy attributes:
Policy Id
Policy No
Account Date
Month
Year
Period Id
Step 2
As a result you will receive a list of GL transactions (see Figure - GL Transactions ). Here you can check out the the
information you search for.
Figure - GL Transactions
Instructions
Figure - GL Transactions - continuation
Read details about the transactions in GL Transactions Attributes (see page 9).
Accounting
Accounting
Instructions
View Outstanding Loss Reserve
To check the amount of the outstanding loss reserve (OLR) generated for a policy during the month closing process,
or for all policies in a given period, go to GEN Accounting > OLR and follow the procedure below:
Step 1
Use the search facility located on the right side of the frame to retrieve the reserve information for either a particular
policy, or a particular period.
You can search by one or more of the following attributes:
Claim Id
Claim No
Request Id
Reserve Date
Policy No
Cover Type
Product Type
Step 2
As a result you will receive a list of GL transactions (see Figure - OLR Reserve ). Here you can check out the the
information you search for.
Figure - OLR Reserve
Figure - OLR Reserve - continuation
Read details about the reserves in OLR Attributes (see page 11).
Instructions
Accounting
View Unearned Premium Reserve
To check the amount of the unearned premium reserve (UPR) generated for a policy during the month closing
process, or for all policies in a given period, go to GEN Accounting > UPR and follow the procedure below:
Step 1
First, select a tab between List of UPR corp by policy and List of UPR corp by policy and cover . Then go to the
search facility located on the right side of the frame to specify search criteria for retrieving the reserve information for
either a particular policy, cover, or a particular period.
Step 2
A. When you are on the first tab List of UPR corp by policy (Figure - UPR Reserve by policy) you can search by one
or more of the following attributes:
Policy Name
Insr Type
Reserve Date
Status
Figure - UPR Reserve by policy
B. When you are on the second tab List of UPR corp by policy and cover (see figure UPR Reserve by cover type)
you can search by one or more of the following attributes:
Policy Name
Cover Type
Insr Type
Reserve Date
Status
Accounting
Instructions
Figure - UPR Reserve by cover type
Read details about the reserve records in UPR Attributes (see page 12).
Glossary
Accounting
Glossary
GL
The General Ledger is a chronological accounting record a business uses to keep track of financial transactions.
OSLR
The Outstanding Loss Reserve is the cash reserved by an insurance company to cover those claims that have been
reported, but are not settled, and thus the final cost is not yet known.
UPR
The Unearned Premium Reserve is the premium corresponding to the time period remaining on an insurance policy.
Unearned premiums are proportionate to the unexpired portion of the risk, for which coverage has been sought by the
insured party. Thus, it is deemed to have not yet been earned, or "unearned," by the insurer. It appears as a liability on
the insurer's balance sheet, as it would have to be paid back upon cancellation of the insurance policy.
Accounting
Attributes Appendices
Attributes Appendices
GL Transactions Attributes
Table - GL transactions attributes description
Field
Description
Gltrans Type
The type of accounting transaction. Read appendix Transaction Types for the full list of transaction types.
DT Account Code
The number of the GL account according to the country legislation, used in the particular transaction on
the debit side
DT Account
Debit account name
Ct Account Code
The number of the GL account according to the country legislation, used in the particular transaction on
the credit side
Ct Account
Credit account name
Amount Local
The transaction amount in the company local currency
Op Amount
The transaction amount in the currency of the transaction
Op Currency
The currency of the transaction
Currency Rate
The rate used to convert the amount from transaction currency to local currency (usually on the account
date)
Account Date
The date of the event that is the cause for the transaction
Period Id
The system ID for the month in which the transaction was generated
Order Id
The system ID for the day in which the transaction was generated
Month
The month in which the transaction was generated
Year
The year in which the transaction was generated
Policy Id
The system ID of the policy to which the transaction is related
Policy No
The policy number to which the transaction is related
Dt
Abbreviation for the debit account
Ct
Abbreviation for the credit account
Cover Type
The cover, if any, to which the transaction is related
Fract Type
The line of business to which the transaction pertains
Fyre
Whether the transaction relates to first-year or renewal premium
Reference Id
The system ID of the database table, containing the record based on which some event generated the
transaction (claim table, premium table, etc.)
Status
Contains symbol 'I' if successfully generated
Attributes Appendices
Accounting
Event Code
The code of the event that triggered the transaction generation
Gltrans Id
The system ID for the transaction
Reverse Gltrans Id
The system ID of the transaction which the current transaction is reversing
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Accounting
Attributes Appendices
OLR Attributes
Table - OLR attributes description
Field
Description
Claim Id
The system ID of the claim
Claim No
The claim number
Request Id
The system ID of the claim request
Policy No
The number of the policy for which the claim is registered
Cover Type
The cover related to which the loss happened
Product Type
The name of the insurance product
Reserve Date
The date towards which the OLR is calculated
Claim Reserve Cf
The amount of the reserve carried forward
Currency
The currency of the reserve amount
Claim Reserve Bf
The amount of the reserve brought forward
Expense Sum
The amount of any related expenses incurred
RI Reserve
The amount of the reinsurance part of the OLR reserve
RI Reserve Bf
The amount of the reinsurance part of the OLR reserve brought forward
Localcurr OLR Cf
The amount of the reserve carried forward in local currency
Localcurr Riolr Cf
The amount of the reinsurance part of the OLR reserve carried forward in local currency
Localcurr OLR Bf
The amount of the reserve brought forward in local currency
Localcurr Riolr Bf
The amount of the reinsurance part of the OLR reserve brought forward in local currency
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Attributes Appendices
Accounting
UPR Attributes
Table - UPR attributes description
Field
Description
Reserve Date
The date towards which the UPR is calculated
Insr Type
The name of the insurance product
Policy Name
The number of the policy for which the reserve is calculated
Cover Type
The cover for which the reserve is calculated
Status
The state of the reserve
Pr Gwp
The amount of gross written premium
Pr UPR
The amount of the unearned premium reserve
Pr Ep
The amount of earned premium
Com GWC
The amount of gross written commission
Com Dac
The amount of deferred acquisition costs
Com Ec
The amount of earned commission
Pr Gwp Curr
The amount of gross written premium in local currency
Pr UPR Curr
The amount of the unearned premium reserve in local currency
Pr Ep Curr
The amount of earned premium in local currency
Com GWC Curr
The amount of gross written commission in local currency
Com Dac Curr
The amount of deferred acquisition costs in local currency
Com Ec Curr
The amount of commission in local currency
Gwp Currency
The currency of the policy
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Accounting
Attributes Appendices
Transaction Types
Abbreviation of
Description
transaction types
ASATOPSA
ASA to PSA
CLAIMDOC
Claim payment confirmation
CLAIMAP
Claim payment confirmation
CLAIMEXP
Claim expenses
CLAIMPAY
Claim payment
COINSCLPAY
Coinsurance claim pay
COINSREG
Coinsurance regress recovery
COINSREGRQ
Coinsurance regress request
COMMDUE
Due commissions
COMMINSTAL
Payable commissions
COMMOR
Due override commission
COMMPAY
Commission payment
DUEP
Due Premiums
GSATOASA
GSA to ASA
GSATOPSA
GSA to PSA
IASA
Credit ASA
IGSA
Credit GSA
IPREM
Premium allocation
IPSA
Credit PSA
PINDP2
Premium to FA reallocation
PREMCOMM
Premium withhold commission
RATEGAIN
Exchange rate gain
RATELOSS
Exchange rate loss
REFEXP
Refund expense
REFUND
Refund
REFUNDAPC
Refund AP confirmation
REFUNDC
Refund confirmation
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Attributes Appendices
Accounting
REGRES
Regresses
REGRESRQ
Regresses request
REINSCHE
Reinsurance claims handling expenses
REINSCLAIM
Reinsurance claim
REINSCOMM
Reinsurance commissions
REINSPAYTR
Reinsurance payables - treaty
REINSPREM
Reinsurance due premium
RESDACDEC
DAC decrease
RESDACINC
DAC increase
RESIBNRDEC
Reserve IBNR Decrease
RESIBNRINC
Reserve IBNR Increase
RESOLRDEC
Reserve OLR Decrease
RESOLRINC
Reserve OLR Increase
RESUPRDEC
UPR Decrease
RESUPRINC
UPR increase
REVERSE
Reverse
RRIIBNRDEC
Reserve RI IBNR decrease
RRIIBNRINC
Reserve RI IBNR increase
RRIOLRDEC
Reserve RI OLR decrease
RRIOLRINC
Reserve RI OLR increase
RRIUPRDEC
UPR Reins decrease
RRIUPRINC
UPR Reins increase
TOLERANCEN
Tolerance negative
TOLERANCEP
Tolerance positive
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