ECS-52473
Summary
|
Details
11.0.0025, 10.1.0550.09, 11.0.0000.01, 10.1.0575.04
Adjustment Claims
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- AR Management
- Cash Receipts for Remittance
- All Clients With Security Listing by PeopleID
- Claims Maintenance NX Form Set
- ActionsView
Scenario 1: Validate Resubmit To Other Action On An Adjustment Claim
Specific Setup:
- Requires a client with a claim that has been "Adjusted".
- Client should have a "Secondary Benefit Assignment" that can also bill the service.
Steps
- Navigate to "Finance > Remittance Processing > Remittance Application > AR Management".
- Select desired "Remittance".
- Set search parameters to search for desired claim.
- On the "Adjustment Claim" add a "Partial Payment".
- Click "Add Action".
- Select "Action" dropdown box.
- Select "Resubmit To Other".
- Validate "Submit To" contains desired "Secondary Payer".
- Save.
- Wait for billing to run.
- Click on desired "Adjustment Claim" link.
- Click on "Submissions" tab.
- Validate the second submission is listed.
- Validate "Claim Frequency" is "Admit thru Discharge Claim".
- Validate "Claim Submission" has desired "Payer" and "Balance".
Scenario 2: Validate Actions On An Adjustment Claim
Specific Setup:
Requires a client with a claim that has been "Adjusted".
Steps
- Navigate to "Finance > Remittance Processing > Remittance Application > AR Management".
- Select desired "Remittance".
- Set search parameters to search for desired claim.
- Validate the "Status" of the adjustment claim is listed as "No Remit".
- Add a "Denial" to the claim.
- Click "Add Action".
- Select "Action" dropdown box.
- Validate the actions "Write Off, Resubmit, Resubmit To Other, Adjustment and Void" are listed.
- Select "Resubmit"
- Validate "Submit To" contains same payer.
- Save.
- Wait for billing to run.
- Click on desired "Adjustment Claim" link.
- Click on "Submissions" tab.
- Validate the second submission is listed.
- Validate "Claim Frequency" is "Replacement of Prior Claim".
- Delete the action.
- Click "Add Action" and select "Write Off".
- Save.
- Validate the claim balance is zero.
- Delete the action.
- Click "Add Action" and select "Adjustment".
- Save.
- Validate a new "Adjustment Claim" is created.
|
Topics
• Finance
|
Save PutDisclosure CareFabric Messages to Database
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Taskbar > Care Exchange > Care Exchange > CareConnect Inbox
- CareConnect Inbox Provider Search
- Client Association
- Client Search
- Manual Disclosures [EDIT]
Scenario 1: CareConnect Inbox Send Referral and CCD to Outside Agency
Scenario 2: Validate PutDisclosure Messages
|
Topics
• CareConnect Inbox
• Client
|
Added Support for DOC Additional Rate
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Billing Batches Management
- Immediate Billing Run Request [ADD]
- Submitter Information
- Billing Run Request Limit People Subform
- All People with Benefit Assignments with LOS
- Billing Batch Management 2.0 Form Set
- BillingProcessHistory
- FinanceClaims
- Client Search
- Critical Information
- Program Enrollment Modifier [EDIT]
Scenario 1: Validate Claim Includes DOC Additional Rate
Specific Setup:
- Requires a client that can bill "Facility Placement".
- Facility Placement Rate should have "DOC Additional Rate" set.
Steps
- Navigate to "Client > Client Information > Critical Information > Enrollment Information".
- Select desired client.
- Click "Display Menu of Actions" and select "New Program Modifier".
- Fill in required fields.
- Set "DOC Points" to desired amount".
- Save.
- Navigate to "Finance > Claim/Invoice Processing > Batch Listing > Billing Batches Management".
- Click "New Run" and select "Start New Billing Run".
- Fill in required fields to bill for desired client.
- Wait for billing to run.
- Open the resulting claim.
- Validate the amount of the claim is the "Rate + (DOC Additional Rate x DOC Points)".
|
Topics
• Finance
|
Optimizing Sending SDK Messages for Environments with Replication
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Client Header
- Select Client
- Client Personal Information [EDIT]
Scenario 1: ClientEventUpdate Message
|
Topics
• Third Party Solution
|
EvvAppointment CareFabric Messages
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Client Critical Information Form Set
- Client Search
- Critical Information
- Facility Placement for a Person [EDIT]
- Managing Organizations
- Client Personal Information Form Set
- Client Personal Information [EDIT]
Scenario 1: MCG -EvvAppointmentUpdated and EvvClientUpdated
|
Topics
• Third Party Solution
|
Front Desk Calendar Staff Appointment Availability
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Client Search
- FrontDeskCheckIn
- FrontDeskCalendar
- Front Desk Calendar Appointment [EDIT]
- Program by Managing Office and Agency
- People Search with New
- Active events by Program or Clinic2
- Staff - Service Providers by Program and Facility
- Client Related Task - New [DELETE]
Scenario 1: Validate Appointment Slots Showing Unavailable for Booked Appointment Times
Specific Setup:
- Access to Calendar.
- Available Client to schedule event.
Steps
- Navigate to "Client > Case Management > Service Management > Service Entry".
- Select a Client and schedule an appointment with a staff under a desired facility.
- Navigate to "Taskbar > Attendance Check In/Out > Check In/Out > Front Desk NX".
- Click Calendar button.
- Select the staff and Set facility to same as appointment.
- Open the appointment that was created and Validate that the facility is not changed.
- Change the facility.
- Open the appointment that was created and Validate that the facility is not changed.
- Click Advanced search.
- Fill the required fields and validate that the search returns only timeslots available during the day of the appointment and not during the appointment itself.
|
Topics
• Calendar
• Client
• Taskbar
|
Synchronization Of Deleted Appointments
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Taskbar > Attendance Check In/Out > Check In/Out > Front Desk NX
- Front Desk Calendar NX
- Calendar Appointment
- Staff - Service Providers (by Staff_id) NES
- Program Listing By Agency and Worker
- Active events by Program or Clinic2
- Front Desk People Search
- myHealthPointe Sign In
- myHealthPointe Dashboard
- FrontDeskCalendar
Scenario 1: AppointmentDeleted - Validate Client Id Added to Message
|
Topics
• myHealthPointe
|
ECS-54544
Summary
|
Details
11.0.0025, 10.1.0550.09, 11.0.0000.01, 10.1.0575.04
Printing Assessments
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Client
- Select Client
- Client > Case Management > Service Management > Assessments
- Assessment Remarks
- Print Preview
Scenario 1: Printing of Assessment Containing All Question Types
Specific Setup:
Client enrolled in program that contains an assessment with all question types.
Steps
- Navigate to "Client > Case Management > Service Management > Service Entry".
- Select a client then add an assessment that contains all question types.
- Fill form and save.
- Reopen form and attempt to Print Form.
- Verify print preview appears.
|
Topics
• Assessments
|
Remittance Import Listing
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Cash Received Maintenance (System) [VIEW]
- Alerts - View [VIEW]
- FinanceImportListing
- Report: Claim Remittance Report
- Report: Claim Details Report
- Claims Maintenance NX Form Set
- Remittance File
- Claim Submission 2.0 [EDIT]
Scenario 1: Receive 835 File From RevConnect
Specific Setup:
Ability to receive 835 Remittance files via SFTP/RevConnect.
Steps
- Navigate to "Finance > Imports/Exports > Imports > Remittance Imports".
- Validate file has imported successfully from "SFTP/RevConnect".
- Click "File Name" link.
- Validate file displays, close.
- Click "Check" link.
- Validate "Receiver" and "Deposit" information is correct.
- Click "Actions", "Remittance Report".
- Validate "Report" contains "Claim Remittance" information, close.
- Click "Actions", "Claim Details".
- Validate "Report" contains "Claim Details" information, close.
|
Topics
• Finance
|
Billed Care Days Report
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- AR Management
- Cash Receipts for Remittance
- Report Selection Picklist
- Report Parameters PickList
- All Clients With Security for Reports
- ActionsView
- Report: Billed Care Days
Scenario 1: Validate Care Days Report Displays Claim
Specific Setup:
- Requires a client with billed "Care Day Placement".
- Rate should be set up with "Is For Care Day Reporting".
- Scenario works with a claim that is "Overpaid".
Steps
- Navigate to "Finance > Reports > General > Billed Care Days".
- Set desired date range
- Select desired "Report Selection".
- Preview the report.
- Validate desired client and billed care days are visible.
- Navigate to "Finance > Remittance Processing > Remittance Application > AR Management".
- Select desired "Remittance".
- Set desired search parameters to pull up desired claim.
- Add an "Action" to the claim, i.e "Overpayment".
- Save.
- Navigate to "Finance > Reports > General > Billed Care Days".
- Set desired date range
- Select desired "Report Selection".
- Preview the report.
- Validate desired client and billed care days are visible.
|
Topics
• Finance Setup
• Reports
|
270 Output File
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- 270 File
- 270 Output Ready
- EligibilityManager
- Receiver Information - All
- Program Listing By Agency and Worker
- Claim Receivers Setup Form Set
- Receiver Information 270-271 Setup [EDIT]
Scenario 1: Eligibility Requests (270) - Create 270 File
Steps
- Navigate to "Finance > Imports/Exports > Exports > Eligibility Requests (270)".
- Click "New Request".
- Set "Receiver" and "Description" values.
- Set any additional parameters.
- Click "Save".
- Click "Actions ▼".
- Click "Generate Output File".
- Validate the segment containing the "DTP*" segment contains date in "CCYYMMDD" format.
Scenario 2: Validate Eligibility Requests (270) - GS02 Element
Steps
- Navigate to "Finance Setup > Agency Setup > Claim Receivers Setup > Receiver Setup 270/271".
- Select desired "Receiver".
- Set "X270 Application Sender Code" to desired value.
- Save.
- Navigate to "Finance > Imports/Exports > Exports > Eligibility Requests (270)".
- Click "New Request".
- Select "Receiver" from step 2.
- Fill in remain required fields.
- Save.
- Click "Actions" button and select "Generate Output File".
- Download the file and open it.
- Validate the "GS 02 Segment" contains desired value from step 3.
|
Topics
• Finance
• Finance Setup
|
NACHA File and Batch Control Number
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- ChecksCreationLog
- Create Checks [ADD]
- GL Accounts Payable Accounts
- GL Cash Accounts
- NACHA File
Scenario 1: Validate Batch Control Number Is In Sequential Order In NACHA File
Specific Setup:
- Scenario works with various "Vendors" that have invoices that need to be paid.
- Scenario works with various "Vendors" that are linked to different "Managing Offices".
- "Vendors" should be set up with "Direct Deposit".
Steps
- Navigate to "Finance > Claim/Invoice Processing > Create Checks (A/P) > Processing".
- Click "Create Checks".
- Fill in required fields to generate desired checks.
- Save.
- Click "Actions" button and select "Create DD File For All Actions".
- Validate the "Batch Control Number" is in sequential order.
|
Topics
• Finance
• Finance Setup
|
System Will Break Services into Separate Service Lines by Authorization When Different Authorizations Are Applicable to Services Combined into a Single Claim
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Billing Batches Management
- Immediate Billing Run Request [ADD]
- Submitter Information
- Billing Run Request Limit People Subform
- All People with Benefit Assignments with LOS
- Billing Batch Management 2.0 Form Set
- BillingProcessHistory
- FinanceClaims
- Claims Maintenance NX Form Set
- Claim Submission 2.0 [EDIT]
- Claim Service Lines NX Subform
- Claim 2.0 [EDIT]
- Claim/Invoice Batch [VIEW]
- Claim Output Ready
- 837 File
Scenario 1: Validate Claim With Service Line Consolidation and Multiple Authorization Headers
Specific Setup:
- Requires a Client that has a billable "Facility Placement".
- Client must have two "Authorization Headers" for the "Facility Placement" rate.
- One header should cover the first part of the month, and the second header should cover the second half of the month.
- "Facility Placement" rate should have "Service Line Consolidation" and "Consolidate for a Period" set to "Month".
- "Break by Auth" should also be set on the rate.
Steps
- Navigate to "Finance > Claim/Invoice Processing > Batch Listing > Billing Batches Management".
- Click "New Run" and select "Start New Billing Run".
- Fill in required fields to generate desired claim.
- Save.
- Wait for billing execution interval to complete.
- Click on the resulting claim.
- Validate the claim has "Service Line Consolidation" and is split based on the "Authorization".
- Open the "Claim Output".
- Validate "837 Output" contains "Service Lines" with the desired "Authorization" number.
Scenario 2: Validate Claim With Service Line Consolidation And Multiple Authorization Service Details
Specific Setup:
- Requires a Client that has a billable "Facility Placement".
- Client must an "Authorization Header" for the "Facility Placement" rate.
- Authorization must have at least two service details. One that will cover the first have of the month and the second one to cover the second have of the month.
- "Facility Placement" rate should have "Service Line Consolidation" and "Consolidate for a Period" set to "Month".
- "Break by Auth" should also be set on the rate.
Steps
- Navigate to "Finance > Claim/Invoice Processing > Batch Listing > Billing Batches Management".
- Click "New Run" and select "Start New Billing Run".
- Fill in required fields to generate desired claim.
- Save.
- Wait for billing execution interval to complete.
- Click on the resulting claim.
- Validate the claim has "Service Line Consolidation" and is split based on the "Authorization".
- Open the "Claim Output".
- Validate "837 Output" contains "Service Lines" with the desired "Authorization" number.
|
Topics
• Finance
|
EvvResource CareFabric Messages
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Agency > Staff & Security > Staff Information > Staff Profiles with Security
- Staff Listing - Agency Employees (By People ID)
- Staff with Security [EDIT]
- Form Information
Scenario 1: Mobile CareGiver+ EvvResourceUpdated Payload
|
Topics
• Staff
|
Duration of Other Activities
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Client Search
- General Service Note (auto date) [ADD]
- Other Activities - B2E Subform
- Event Definitions - Service - by Category/Program
Scenario 1: Validate Duration Is Updated As Sum of Other Activities Duration When Parent Form Has Duration Disabled
Specific Setup:
- Event with the "before save code" of that form has "propagateDuration2ParentEvent()".
- Parent form has duration disabled.
Steps
- Navigate to "Client > Case Management > Service Management > Service Entry".
- Select a Client.
- Add the event from setup.
- Fill required fields and add one Other Activities item with a duration.
- Save form and validate total duration is the same as the Other Activities duration.
- Reopen the form and add another Other Activities row.
- Save form and validate total duration is the sum of all the Other Activities duration.
|
Topics
• Forms
|
Write Off Action In Posted Month
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- AR Management
- Cash Receipts for Remittance
- Claim 2.0 [EDIT]
Scenario 1: Validate Delete Writeoff Action That Is In A Posted Month
Specific Setup:
- Requires a claim with a "Write Off" Action.
- Month the "Write Off" action posted to should be closed.
Steps
- Navigate to "Finance > Remittance Processing > Remittance Application > AR Management".
- Select desired "Remittance".
- Set search parameters to search for desired "Claim".
- Click "Search".
- Click on the "Balance" icon to view the timeline.
- Click "Delete" button on the "Write Off" action.
- Validate the action has deleted and the claim now has a "Balance".
- Click on the "Claim" link.
- Click "Accounting Information".
- Validate the "Accounting" contains the reversing "GL Entries" for the write off action.
- Validate the "GL Entries" posted to the earliest open month.
|
Topics
• Finance
|
Custom Reports
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Conditional Formatting Configuration
- Folders Setup
- NX Report Processor
- Scheduled Custom Reports [ADD]
- Save Reports
Scenario 1: Validate Custom Reports Working for Virtual Views With Spaces As Aliases
Specific Setup:
Virtual view using column names with spaces as aliases.
Steps
- Navigate to "Reports > NX Custom Reporting > NX Custom Reporting > Custom Reporting".
- Run custom report which uses virtual view from setup.
- Validate report can "Run Report" and "Run as CSV".
- Navigate to " Reports > Other > Saved Reports > Report Listing"
- Retrieve CSV file.
|
Topics
• Reports
|
Form Elements
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Interface Design Form Set
- Form Families - Client Mode
- NX FIELD [EDIT]
- Columns Pick List NX
- NX Form Group [EDIT]
Scenario 1: Form Designer: Add/Edit/Delete a Field
Specific Setup:
Available Form to edit in Form Designer.
Steps
- Navigate to "Setup > User Tools > Interface Design > Form Designer".
- Select Form Family.
- Pin desired form.
- Add a Field to the form.
- Click Actions > Preview and Validate field added to form.
- Modify the Field.
- Click Actions > Preview and Validate changes to field in form.
- Delete the Field.
- Click Actions > Preview and Validate field not in form.
|
Topics
• Forms
|
eMAR Date Selection
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Medication Administration
Scenario 1: eMAR – Validate Cannot Administer Medications Using a Future Date
Specific Setup:
- Access to eMAR.
- eMAR has Clients with medications ready to administer.
Steps
- Navigate to "Taskbar > eMAR > eMAR > eMAR".
- Select a "Location", "Time Of Day Band", and input today's date in the "Date" Field.
- Press "Apply".
- Validate eMAR table displays.
- Set the Date field to a future date.
- Validate "Please use a valid date. Future dates are not allowed." message appears.
- Set the Date field to the start of last week date.
- Set the Date field to a future date.
- Validate "Please use a valid date. Future dates are not allowed." message appears.
|
Topics
• eMAR
|
Placement Disruptions With Program Modifiers
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Client Search
- Placement Disruptions: Respite Placement [ADD]
- Program by Client's Service Track - Respite
- Program Enrollment Modifier (by Agency)
- Placement Events by Agency/Program - People
- Facilities Listing by Program
- Unit Table
- Billing Batches Management
- Immediate Billing Run Request [ADD]
- Submitter Information
- 1. Simple Service Entry [ADD]
- Billing Batch Management 2.0 Form Set
- BillingProcessHistory
- FinanceClaims
- Claim 2.0 [EDIT]
Scenario 1: Validate Billing Placement Disruptions Includes Program Modifier
Specific Setup:
- Client is enrolled in a Care Day Program.
- Respite Program is a billable Placement Disruption.
- Respite program has a manual service that is billable.
Steps
- Navigate to "Client > Client Information > Critical Information > Placement Disruptions".
- Select "Client" from preconditions.
- Click "Add New".
- Select "Respite" from the New Events drop down list.
- Fill out required fields.
- Select desired "Description" from the "Program Modifier" list.
- Click "Save".
- Navigate to "Finance > Claim/Invoice Processing > Batch Listing > Billing Batches Management".
- Click "New Run" button.
- Select "Start New Billing Run".
- Fill out required fields.
- Select desired Receiver, click "Save".
- Click "Billing Process History".
- Click "Start Billing Now".
- Go back to "Billing Batches Management".
- Open the "Batch".
- Click the Claims ID number link.
- Verify the Placement Disruptions has been billed with the Program Modifier from preconditions.
- Click "Close".
|
Topics
• Client
• Finance
|
Group Appointments In Front Desk Check In
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Taskbar > Attendance Check In/Out > Check In/Out > Front Desk NX
- Group Listing with Security
- Groups > Service Management > Service Management > Service Entry
- Activities - Group Activities
Scenario 1: Front Desk NX - Validation of Groups Check In Filters
Specific Setup:
- Test system must have two different active groups associated with the same facility.
- Each group must have a "Default Event" and "Default Staff" defined for an active schedule under "Groups > Group > Information > General Information".
- The schedule must have at least one day where both groups are active (i.e. both meet on Mondays).
- Each group must have at least one client actively enrolled with the above schedule that have not been checked in for the day selected for testing.
Steps
- Navigate to "Taskbar > Attendance Check In/Out > Check In/Out > Front Desk NX".
- Populate "Location" with your desired location where both groups are associated.
- Populate "Date" with a day where both groups are scheduled to meet and group members have not yet been checked in.
- Check "Include Group Appointments" checkbox.
- Click "Apply Filters" button.
- Confirm the "Scheduled" column indicates the expected number of appointments.
- Click "Group" and select one of the two groups that is scheduled to meet on this day.
- Click "Apply Filters" button.
- Confirm the "Scheduled" count is reduced by the number of clients scheduled with the other group.
- Scroll through the "Scheduled" column and confirm that only group appointments for the group selected are appearing.
- Click "Group" and select the other group that is scheduled to meet on this day.
- Click "Apply Filters" button.
- Confirm the "Scheduled" count is reduced by the number of clients scheduled with the other group.
- Scroll through the "Scheduled" column and confirm that only group appointments for the group selected are appearing.
- Click "Group" and then click "Clear" to clear this filter.
- If desired, un-check the "Include Group Appointments?" checkbox.
- If desired, clear the "Date" and "Location".
Scenario 2: Front Desk NX - Validate Check In of Group Appointment
Specific Setup:
- Test system must have an active group.
- The group must have a "Default Event" and "Default Staff" defined for an active schedule under "Groups > Group > Information > General Information".
- The group must have several clients actively enrolled with the above schedule that have not been checked in already for this appointment.
Steps
- Navigate to "Taskbar > Attendance Check In/Out > Check In/Out > Front Desk NX".
- Populate "Location" with your desired location where test group is associated.
- Populate "Date" with a day where group is scheduled to meet and group members have not yet been checked in.
- Check "Include Group Appointments" checkbox.
- Click "Group" and select one of the two groups that is scheduled to meet on this day.
- Click "Apply Filters" button.
- Confirm the "Scheduled" column indicates the expected number of appointments.
- Set "Search for Clients" filter at top of "Scheduled" column to desired group member name
- Validate "Scheduled" column is filtered to only show individual(s) with this name.
- Click "Check In" button for this individual.
- Note that the card moves from the "Scheduled" column to the "In Progress" column.
- Set the "Search for Clients" filter at top of "Scheduled" column to desired group member name.
- Validate "Scheduled" column is filtered to only show individual(s) with this name.
- Click "Check In w/ Form" button for this individual.
- Click "Complete Check In" once the check in form loads.
- Note that the card moves from the "Scheduled" column to the "In Progress" column.
- Click the "x" to clear the "Search for Clients" filter at the top of the "Scheduled" column.
- Validate "Scheduled" column is no longer filtered to any specific individual.
- Note the name of another individual scheduled for this group session.
- Navigate to "Groups > Service Management > Service Management > Service Entry".
- Select your test Group making certain to select the appropriate unit.
- Set the "Actual Date" column filter to the date of the appointment you just checked in members for using "MM/DD/YYYY" format.
- Click this row to open the group service on this date.
- Scroll to the "Group Members" SubForm and confirm that the two individuals that were checked in to the appointment are flagged as "Present?".
- Confirm that the individual noted who was not checked in, does not have the "Present?" flag checked.
- Delete your test group service if desired.
- Navigate to "Taskbar > Attendance Check In/Out > Check In/Out > Front Desk NX".
- Click "Apply Filters" button.
- Validate that the group members previously checked in appear in the "Scheduled" bucket and not "In Progress" bucket.
- Clear all filters if desired.
|
Topics
• Front Desk
• Groups
|
Duration for Activities in SubForms
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Client Search
- Other Activities - B2E Subform
- Event Definitions - Service - by Category/Program
- Other Activities [EDIT]
Scenario 1: Validate Child Event Data Will Now Auto Calculate Duration When Saving From a Drafted Event
Specific Setup:
- Service event setup to save as draft.
- Service event has Start Date/Time and End Date/Time inputs.
- Service event has an "Activities - Other".
- Activities - Other -B2E has Start Time and End Time inputs.
Steps
- Navigate to "Client > Case Management > Service Management > Service Entry".
- Select a Client.
- Add the desired Event.
- Fill parent event Start and end Date/Times.
- Add a child event and fill Start/End Times, then save as draft.
- Validate the parent event and child event have not calculated durations.
- Reopen the event.
- Add a new child event with Start/End Times, then save.
- Validate main event and two child events now have calculated their duration times.
|
Topics
• Client
|
ECS-54798
Summary
|
Details
11.0.0025, 10.1.0550.09, 11.0.0000.01, 10.1.0575.04
Update Refresh Denormalized Process for Performance Improvements
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Client Search
- Critical Information
- Program Enrollment [Edit]
- Program Enrollment From Service Track [ADD]
- Program Listing By Agency and Worker
- Worker Role (to a client or in a workgroup) Table
- Facility Transfer [ADD]
- Unit Table
- Enrollment Transfer Type Look-up Table
- Events To Do Quick Transfer
- Facility Placement for a Person [DELETE]
- Message from webpage - Are you sure want to delete Program Enrollment?
- Program Enrollment [Delete]
- Message from webpage - Click OK if you would like to end all worker assignments for this program. Click Cancel if you would like to leave worker assignments open while ending the program enrollment.
- Manage Tasks (for Discharged Client)
- Agency Placement [EDIT]
Scenario 1: Validate Enrollment Date Updates On Client Service Entry
Specific Setup:
Existing Client enrollment.
Steps
- Navigate to "Client > Case Management > Service Management > Service Entry".
- Take note of enrollment date for Program.
- Navigate to "Client > Client Information > Critical Information > Enrollment Information".
- Change enrollment date by clicking "Correct Close Program Enrollment" on program.
- Navigate to "Client > Case Management > Service Management > Service Entry".
- Verify enrollment date changed.
Scenario 2: Validate Client Address Updates After New Enrollment
Specific Setup:
- Requires an existing Client not enrolled into a Care Day program.
- Client has an address listed in demographics.
- Requires a Care Day program.
Steps
- Navigate to "Client > Client Information > Critical Information > Enrollment Information".
- Select a Client.
- Enroll the client into a new program, fill required information and save.
- Refresh Client information.
- Validate location changes to new program enrollment Facility.
- Transfer the facility to another location.
- Refresh Client information.
- Validate location changes to newly transferred program Facility.
- Delete the new program enrollment.
- Refresh Client information.
- Validate location changes to previous program enrollment Facility.
Scenario 3: Validate Address Updates When Discharging Client
Specific Setup:
- Requires a Client enrolled into a Care Day program.
- Requires Client with address information.
Steps
- Navigate to "Client > Client Information > Critical Information > Enrollment Information".
- Select Client which is enrolled in a program.
- Validate Client location is same as program facility location.
- Close Program Enrollment for the program.
- Refresh and Validate Clients location reverts to Clients address.
- Revert the Close Program Enrollment.
- Refresh and Validate Client location back to program facility location.
|
Topics
• Client
• Service Entry
|
ProviderConnect Enterprise Will Send Financial Eligibility on Collateral
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Client Search
- Client Personal Information Form Set
- Benefit Assignment [EDIT]
Scenario 1: ProviderConnect Enterprise - Financial Eligibility on Collateral
|
Topics
• Client
|
ProviderConnect Enterprise CalOMS
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- CALOMS (CA State) [ADD]
- CA CALOMS Source of Referral
- CA CALOMS Type of Treatment Service
- CA CALOMS County
- CA CALOMS Gender
- CA CALOMS State Table
- CA CALOMS Race
- CA CALOMS Ethnicity
- CA CALOMS Veteran
- CA CALOMS Drug Type
- CA CALOMS 0 to 30 None Only
- CA CALOMS Drug Route
- CA CALOMS Age of First Use
- CA CALOMS 0 to 30 Declined Unable
- CA CALOMS 0 to 30 Unable Only
- CA CALOMS 0 to 99 Unable
- CA CALOMS Social Supports
- CA CALOMS Type of Form
- Cal-OMS Level of Care Admitted
- CA CALOMS Criminal Justice Status
- CA CALOMS Discharge Status
- CALOMS (CA State) [EDIT]
Scenario 1: Validate CalOMS ProviderConnect Enterprise
|
Topics
• ProviderConnect Enterprise
|
CalOMS Discharge
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- CALOMS (CA State) [ADD]
- CA CALOMS Source of Referral
- CA CALOMS Type of Treatment Service
- CA CALOMS County
- CA CALOMS Gender
- CA CALOMS State Table
- CA CALOMS Race
- CA CALOMS Ethnicity
- CA CALOMS Veteran
- CA CALOMS Drug Type
- CA CALOMS 0 to 30 None Only
- CA CALOMS Drug Route
- CA CALOMS Age of First Use
- CA CALOMS 0 to 30 Declined Unable
- CA CALOMS 0 to 30 Unable Only
- CA CALOMS 0 to 99 Unable
- CA CALOMS Social Supports
- CA CALOMS Type of Form
- Cal-OMS Level of Care Admitted
- CA CALOMS Criminal Justice Status
- CA CALOMS Discharge Status
- CALOMS (CA State) [EDIT]
Scenario 1: Validate CalOMS ProviderConnect Enterprise
|
Topics
• ProviderConnect Enterprise
|
ECS-54867
Summary
|
Details
11.0.0025, 10.1.0550.09, 11.0.0000.01, 10.1.0575.04
Agency Discharge Reasons Propagate to Programs
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Critical Information
- Program Enrollment [Edit]
- Agency Re-Admission [EDIT]
- Client Search
- Manage Tasks (for Discharged Client)
- Agency Discharge [EDIT]
- Event Definitions (Plain)
- Closing Reasons - Service Track Table
- Outcome/Results - Service Track Table
Scenario 1: Validate Discharging From Agency Propagates Reasons for Discharge Down to Programs
Specific Setup:
Client admitted to Agency and at least one Program.
Steps
- Navigate to "Client > Client Information > Critical Information > Enrollment Information".
- Select "Client" from preconditions.
- Discharge the Client from Agency, taking note of "Closing Reason" and "Outcome".
- Click "Correct/Close Program Enrollment" and verify "Reason for ending" and "Outcome" match what was chosen during the Agency Discharge.
|
Topics
• Client
|
ECS-54871
Summary
|
Details
11.0.0025, 10.1.0550.09, 11.0.0000.01, 10.1.0575.04
Service/Case Notes & Planning Approval
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Client Header
- Client Search
- Client > Case Management > Service Management > Service Entry
- General Service Note (auto date)
- Taskbar > Supervisor > Service/Case Notes & Planning Approval
- SupervisorModule
- Select Group
- Get Date Time [EDIT]
- Client Header 2
- Client > Case Management > Planning
- Treatment Plan
- Client Problems
- Taskbar > Attendance Check In/Out > Check In/Out > Front Desk Daily Check In
- Calendar
- Schedule Appointment
- Program Listing By Agency and Worker
- Active events by Program or Clinic
- Staff - Service Providers (by Staff_id) NES
- People Search with New
- Client
- Select Client
- Client > Case Management > Plan Development > Planning
- Client Related Task by Staff Responsible
- Treatment Plan Steps
- Problems Identified (People/Category)
- Taskbar > Supervisor > Supervisor > Service/Case Notes & Planning Approval
- Supervisor Approval - Filter
- Service Plan Review Items
- Supervisor Worker Note
- Treatment Plan Library (by Category)
- Other Activities (Treatment Plan Steps)
- Front Desk Check-In Search
- Family Cases > Clinical Information > Service Management > Service Entry
- Taskbar > Supervisor > Supervisor > Case Service Review
- Activities - Family Case [DELETE]
- Groups > Service Management > Service Management > Service Entry
- Service Events for Report
- Agency Setup > Agency > Agency > Agency Information
- Activities Short Form wo Acts(Read Only) [EDIT]
- Staff Subordinates
- All Clients With Security Listing by PeopleID
Scenario 1: “Service/Case Notes & Planning Approval” – Validate Correct Event Form Pulled and Sub-Reports Displaying Information
Specific Setup:
- "Only Lock Group Events at Group Level" setting enabled under "Agency Setup > Agency > Agency > Agency Information".
- People Event with a SubReport on a form that has a "people_id" as primary join.
- Group Event with different form used for people and group events.
Steps
- Navigate to "Client > Case Management > Service Management > Service Entry".
- Choose a Client and Add Event (from setup).
- Fill form and validate SubReport contains information.
- Save and Submit event.
- Navigate to "Taskbar > Supervisor > Supervisor > Service/Case Notes & Planning Approval".
- Open submitted event and validate SubReport still contains identical information.
- Navigate to "Groups > Service Management > Service Management > Service Entry".
- Choose a Group and Add Event (from setup).
- Navigate to "Taskbar > Supervisor > Supervisor > Service/Case Notes & Planning Approval".
- Open submitted event and validate it opens the group form header, and that there is a "Group Members" list group item.
Scenario 2: Validate Treatment Plan Workflow
Specific Setup:
- Requires access to "Taskbar > Supervisor > Supervisor > Service/Case Notes & Planning Approval".
- Requires a Treatment plan that has been submitted.
Steps
- Navigate to "Taskbar > Supervisor > Supervisor > Service/Case Notes & Planning Approval".
- Set "Filters" for "Treatment Plan" from preconditions.
- Click the "Link" for the plan.
- Validate that the Treatment Plan loads.
Scenario 3: Validate Filters Under Supervisor Approval
Specific Setup:
User has multiple subordinate staff.
Steps
- Navigate to "Taskbar > Supervisor > Supervisor > Service/Case Notes & Planning Approval".
- Click "View Filters".
- Clear "From Date" and click "Apply Filters".
- Validate records load.
- Set Filters to desired selection.
- Verify the Results return as expected.
Scenario 4: “Service/Case Notes & Planning Approval” – Validate Correct Event Form Pulled and Sub-Reports Displaying Information
Specific Setup:
- "Only Lock Group Events at Group Level" setting enabled under "Agency Setup > Agency > Agency > Agency Information".
- People Event with a SubReport on a form that has a "people_id" as primary join.
- Group Event with different form used for people and group events.
Steps
- Navigate to "Client > Case Management > Service Management > Service Entry".
- Choose a Client and Add Event (from setup).
- Fill form and validate SubReport contains information.
- Save and Submit event.
- Navigate to "Taskbar > Supervisor > Supervisor > Service/Case Notes & Planning Approval".
- Open submitted event and validate SubReport still contains identical information.
- Navigate to "Groups > Service Management > Service Management > Service Entry".
- Choose a Group and Add Event (from setup).
- Navigate to "Taskbar > Supervisor > Supervisor > Service/Case Notes & Planning Approval".
- Open submitted event and validate it opens the group form header, and that there is a "Group Members" list group item.
|
Topics
• Calendar
• Client
• Family Cases
• Groups
• Service Entry
• Supervisor
• Taskbar
• Treatment Plans
|
Enhancements to On Demand Billing Workflow
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Checks for a Clients Self Pay in Front Desk Entry [EDIT]
- FrontDeskCheckIn
- FinanceClaims
- Checks for a Clients Self Pay in Front Desk Entry [ADD]
- AR Management
- Client Search
- Med Administration - Public Health [ADD]
- Facility Enrollment Client
- Medications In Inventory
- Inventory Container by Drug
- Drug Dispense Units
- Patient Statement
- Self Payors Table for Person
- Receiver Information by Payer
- Cash Received Log - All for a Client
Scenario 1: Validate On Demand Billing Generates Self Pay Claim
Specific Setup:
- Requires Self Pay Rates that are set up with "On Demand Billing".
- Requires services that have been scheduled, checked-in via "Front Desk NX", and are "In Progress".
- Scenario works with a client that has "Self Pay Benefit Assignment" only.
Steps
- Navigate to "Taskbar > Attendance Check In/Out > Check In/Out > Front Desk NX".
- Set parameters to search for desired "Client and Service".
- Click "Run On Demand Billing" button.
- Wait for billing to process and the screen to refresh.
- Validate "Run On Demand Billing" button is no longer visible.
- Validate "Review Claims" button is visible.
- Click on "Review Claims" button.
- Validate the desired claim is generated for your desired client.
- Close the window.
- Click the $ button.
- Enter required fields to create a "Self Pay Check" for the client.
- Click "Apply Payment".
- Validate "AR Management" screen appears.
- Validate the desired "Self Pay Claims" are listed.
- Add a payment to the claim.
- Save.
Scenario 2: Validate ODB Billing When Service Can Be Billed To Primary Payer
Specific Setup:
- Requires a service that is set up for "On Demand Billing".
- Requires a client with a "Self Pay Benefit Assignment" that is set up with "On Demand Billing".
- Client should also have a primary "Benefit Assignment" that can bill the service.
- Service should be scheduled for "Current Date".
Steps
- Navigate to "Taskbar > Attendance Check In/Out > Check In/Out > Front Desk NX".
- Check in the scheduled service.
- Complete the task.
- Click "Run On-Demand Billing" button.
- Validate the alert appears "No Claims created for the Client. Either client has a Primary payer or Service is not setup for Self Pay billing".
Scenario 3: Validate Patient Statement Report With On Demand Billing
Specific Setup:
- Requires a service that is set up for "On Demand Billing".
- Requires a client with a "Self Pay Benefit Assignment" that is set up with "On Demand Billing".
- Service should be scheduled for "Current Date".
Steps
- Navigate to "Taskbar > Attendance Check In/Out > Check In/Out > Front Desk NX".
- On the scheduled service click "Patient Statement" button.
- Validate the report contains desired amount for "Patient Balance" and "Unapplied Balance".
- Check in the scheduled service.
- Complete the task.
- Click "Run On-Demand Billing" button.
- Click "Patient Statement" button.
- Validate the report contains the "On Demand Billing" claim.
- Close the report.
- Mouse over the "$" button and validate the "Current Balance" is equal to the amount of the "On Demand Billing" claim.
- Click the "$" button.
- Collect a payment.
- Click "Patient Statement" button.
- Validate the report contains an updated "Unapplied Balance".
- Close the report.
- Click "Apply Payment".
- Validate "AR Management" window appears.
- Apply the payment.
- Save.
- Click "Refresh" button.
- Mouse over the "$" button and validate the "Current Balance" has been updated.
- Click "Patient Statement" button.
- Validate the report has been updated.
Scenario 4: Validate ODB Billing Payment With Additional Guarantors
Specific Setup:
- Requires a service that is set up for "On Demand Billing".
- Requires a client with a "Self Pay Benefit Assignment" that is set up with "On Demand Billing".
- "Self Pay Benefit Assignment" should have a different person set in the "Send Claims To" field.
- "Self Pay Benefit Assignment" should also have an "Additional Guarantor".
- Service should be scheduled for "Current Date".
Steps
- Navigate to "Taskbar > Attendance Check In/Out > Check In/Out > Front Desk NX".
- Check in the scheduled service.
- Complete the task.
- Click "Run On-Demand Billing" button.
- Click "$" button.
- Validate "Self Payer" contains desired person from "Send Claims To".
- Save the payment.
- Close the window.
- Click "$" button.
- Click "Self Payer" LUT.
- Validate the "Additional Guarantor" is listed.
- Select the "Additional Guarantor".
- Set the desired amount.
- Save.
- Close the window.
- Click "Refresh".
- Click "Apply Payment" button.
- Validate "Cash Log" look-up table appears.
- Click "Search"
- Validate the two payments are listed.
- Select desired check.
- Validate "Payer" contains desired person.
- Apply the payment.
- Save.
|
Topics
• Finance
• Front Desk
|
End Date Billing
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Billing Batches Management
- Billing Batch Management 2.0 Form Set
- BillingProcessHistory
Scenario 1: Validate “End Date Billing” Does Not End Active Billing Run
Specific Setup:
Billing batch with many claims available to reprocess.
Steps
- Navigate to "Finance > Claim/Invoice Processing > Batch Listing > Billing Batches Management".
- Reprocess desired batch.
- Navigate to "Finance > Claim/Invoice Processing > Batch Listing > Billing Processing History".
- Click "Start Billing Now".
- Validate billing started then Click "End Date Billing".
- Validate the active billing run completes.
|
Topics
• Finance
|
Consolidate Only if Consecutive Dates
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- FinanceClaims
- Billing Batches Management
- Billing Batch Management 2.0 Form Set
- BillingProcessHistory
- Client Search
- AR Management
- Cash Receipts for Remittance
- All Clients With Security Listing by PeopleID
- Placement Disruptions: Unknown Location [DELETE]
Scenario 1: Validate Claim Breaks On Placement Disruption When It Extends Into The Next Month
Specific Setup:
- Scenario works with a client and has an existing claim for 2 months of placement services.
- Requires a rate that is set up with placement disruption rule to break on PD.
Steps
- Navigate to "Finance > Claim/Invoice Processing > Batch Listing > Billing Batches Management".
- Reprocess desired billing run.
- Start a new billing run.
- Validate consolidated claims break by placement disruption when PD spans into the next month.
Scenario 2: Validate Billing System Creates Separate Claims for the Billable Placement Disruptions That Are on Non-Consecutive Days
Specific Setup:
- Client set up with multiple disruptions during the billing month, some should span more than one day and at least one should be for a single day.
- Billing batch available to reprocess for billing month for Desired Client.
Steps
- Navigate to "Finance > Claim/Invoice Processing > Batch Listing > Billing Batches Management".
- Search for desired claim.
- Reprocess the claim.
- Start a new billing run.
- Validate claims are generated.
- Validate that the system creates separate claims for the billable placement disruptions that are on non-consecutive days and creates single claim for placement disruption that spans consecutive days.
Scenario 3: Validate Calculate Rate Breaks on Placement Disruption
Specific Setup:
- Requires a claim that can be remitted for "Facility Placement" service.
- Rate for the "Facility Placement" should be set up to break for "Placement Disruptions"
Steps
- Navigate to "Client > Client Information > Critical Information > Placement Disruptions".
- Select desired client.
- Click "Add New" and select desired "Placement Disruption".
- Set the dates so that it starts at the end of the month and ends in the beginning of the next month.
- Save.
- Navigate to "Finance > Remittance Processing > Remittance Application > AR Management".
- Select desired "Remittance".
- Set parameters to search for the desired "Claims".
- Add a "Denial" to the claim.
- Click "Add Action".
- Select "Resubmit".
- Select "Calculate Rate".
- Validate the resulting submissions have broken the claim by the "Placement Disruption".
|
Topics
• Finance
|
ECS-54936
Summary
|
Details
11.0.0025, 10.1.0550.09, 11.0.0000.01, 10.1.0575.04
Front Desk Calendar Timeout
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- EvolvCS Client [EDIT]
- FrontDeskCheckIn
- FrontDeskCalendar
Scenario 1: Validate Front Desk Calendar Standalone Closes Upon System Timeout
Specific Setup:
- Access to "Setup > System > EvolvCS System Setup > System Settings/Preferences".
- Access to Calendar.
Steps
- Navigate to "Setup > System > EvolvCS System Setup > System Settings/Preferences".
- Select system.
- Set the "Inactivity Timeout (hh:mm)" to a low interval for testing and Save.
- Log out of and back into the system in order for the new logout timer to be applied.
- Navigate to "Taskbar > Attendance Check In/Out > Check In/Out > Front Desk Daily Check In".
- Click the Calendar button.
- Wait for timeout duration to complete.
- Observe the Calendar will close upon timeout.
|
Topics
• Calendar
• Front Desk
|
NACHA Files and Hash Totals
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- ChecksCreationLog
- Create Checks [ADD]
- GL Accounts Payable Accounts
- GL Cash Accounts
- NACHA File
Scenario 1: Validate NACHA File Contains Correct Totals In File Control Row
Specific Setup:
- Requires a "Vendor" that has invoices that need to be paid.
- "Vendor" should be set up with "Direct Deposit".
Steps
- Navigate to "Finance > Claim/Invoice Processing > Create Checks (A/P) > Processing".
- Click "Create Checks".
- Fill in required fields to generate desired checks.
- Save.
- Click "Actions" button and select "Create DD File For All Actions".
- Validate the "File Control Record" contains the desired total of the "Routing Numbers".
|
Topics
• Finance
|
myHealthPointe Assessments
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- NX Test Setup Answers Subform
- NX Test Setup Answers (RD) Subform
- Client Search
- Worker Assignments [ADD]
- Program Enrollments by Service Track
- Worker Role (to a client or in a workgroup) Table
- Worker Roles Form Set
- SecurityEvents
- Testing Assessment QA [EDIT]
Scenario 1: Validate MHP Assessments
|
Topics
• Assessments
• myHealthPointe
|
Handling Time Zone Offsets when Entering Referral Status Changes
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- ProgramReferralSearch
- Referral to Program from Outside Source [Edit]
- Referral Made Status Subform
- Open/Closed Status - Referrals Made
Scenario 1: Validate Referral Status Can Updates Between Time Zones When Status Times Overlap
Specific Setup:
Available Referral with pending status.
Steps
- Navigate to "Program Referrals > Program Referrals > Referral Information > Referral Information".
- Select "Referral" from preconditions.
- Open the referral to agency.
- Update/Add Pending referral Status to current date/time.
- Save and log out.
- Change time zone back by 1 hour.
- Log in.
- Navigate to "Program Referrals > Program Referrals > Referral Information > Referral Information".
- Select same "Referral".
- Open the referral to agency.
- Add Accepted referral Status.
- Set date to current date
- Set time to 1 hour before Pending Status Time
- Attempt to save.
- Validate error message displays with "Referral Statuses cannot overlap.".
- Change Accepted Status Time to 59 minutes before Pending Status Time.
- Save and verify no validation messages display.
|
Topics
• Program Referrals
|
Service/Case Notes & Planning Approval Group Notes
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Client Search
- SupervisorModule
- Select Group
- Get Date Time [EDIT]
Scenario 1: “Service/Case Notes & Planning Approval” – Validate Correct Event Form Pulled and Sub-Reports Displaying Information
Specific Setup:
- "Only Lock Group Events at Group Level" setting enabled under "Agency Setup > Agency > Agency > Agency Information".
- People Event with a SubReport on a form that has a "people_id" as primary join.
- Group Event with different form used for people and group events.
Steps
- Navigate to "Client > Case Management > Service Management > Service Entry".
- Choose a Client and Add Event (from setup).
- Fill form and validate SubReport contains information.
- Save and Submit event.
- Navigate to "Taskbar > Supervisor > Supervisor > Service/Case Notes & Planning Approval".
- Open submitted event and validate SubReport still contains identical information.
- Navigate to "Groups > Service Management > Service Management > Service Entry".
- Choose a Group and Add Event (from setup).
- Navigate to "Taskbar > Supervisor > Supervisor > Service/Case Notes & Planning Approval".
- Open submitted event and validate it opens the group form header, and that there is a "Group Members" list group item.
|
Topics
• Client
• Groups
• Supervisor
• Taskbar
|
Test Items/Test Groups Ordering
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- NX Test Setup Answers (RD) Subform
Scenario 1: Validate Test/Assessments Items Preserve Order When Using Drag & Drop
Specific Setup:
- Available Test Form to edit.
- Test form contains at least two existing Test Groups.
Steps
- Navigate to "Setup > Treatment and Tests > Test Setup > Test Design – People".
- Select a User-Defined test that isn't being used yet.
- Drag and drop a new "Test Group" into the test between two existing groups.
- Confirm that existing groups "Order" values are updated to make room for the newly added group.
- Add new Test questions/items into the new Test Group and take note of the ordering.
- Save Test.
- Confirm that new "Test Group" with Test Items are all in the same order/placement as they were dragged before saving, and that their ordering is the same as before.
- Test dragging one of the Test Items to a new place in the test.
- Save and confirm that the Item orderings have updated accordingly.
|
Topics
• Assessments
• Forms
• Setup
|
Wizard Performance Improvement
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Staff Information Form Set
- Staff Listing - Agency Employees (By People ID)
- Client Search
- Person Information [ADD]
- Wizard
- New Client Personal Information [EDIT]
- Initial Enrollment for New Person [ADD]
- Program Listing By Agency and Worker
- Person Information No Anonymous [ADD]
- New Staff [ADD]
- Job Title Listing - Employees
- Staff Credentials History Subform
- Billing staff credentials
- Staff-Site Link Subform
- Managing Offices By Agency Operated
- Select Group
- Case Information [ADD]
- Family Case - Intake [EDIT]
- Family Cases - Type of Case
- Case Intake Members Subform
- Case Status History Subform
- Open/Closed Status - Case
- Case Intake [ADD]
- Placement Events By Agency/Program - Case
- Unit Table
- Referral Search
- New Referral to the Agency [ADD]
- Referral Source - Referral In
Scenario 1: Prevent Creation Of Client As Same Person As Staff
Specific Setup:
Staff and Client records with similar names.
Steps
- Navigate to "Client Module".
- Create a new Client under “New Intake Wizards”.
- Fill out required fields using similar name and click “Proceed”.
- Validate "Staff Name" from preconditions is not available to select from "Wizard Process - Intake".
- Navigate to “Agency > Staff & Security > Staff Profiles with Security”.
- Click “Select Name” and "New".
- Fill out required fields, using the similar name and click "Proceed".
- Validate "Client Name" from preconditions is not available to select from "Wizard Process - Staff".
Scenario 2: Create New User - Time Out
Steps
- Navigate to "Agency > Staff & Security > Staff Information > Staff Profiles with Security".
- Click the "Select Name" button.
- Click the "New" button.
- Enter information within the "Last Name" field.
- Enter information within the "First Name" field.
- Enter a Gender within the " Gender" Field.
- Click "Proceed".
- Check "Create new record" with information entered.
- Click "Proceed".
- Enter information within the "Job Title" field.
- Enter a "Start Date".
- Enter a "Supervisor.
- Enter applicable Managing offices in the "Managing Offices" field.
- Click Finish.
Scenario 3: Prevent Creation of Staff and Client As Same Person In Groups
Specific Setup:
Staff and Client have similar names.
Steps
- Navigate to "Groups > Group > Information > Enrollments" and select an existing Group.
- Press "Add New" and create a new "Group Enrollment" event to launch the "Wizard Process - Support Group Enrollment".
- Fill out the required fields with the similar name from preconditions, click "Proceed".
- Confirm that only the Client with that name and not the Staff shows up in the search results (along with other non-staff people).
Scenario 4: Referral – Non Client
Steps
- Navigate to "Referral > Agency Referral > Referral Information > Referral Information".
- Click Search and create New Referral Wizards and select Default Referral Wizard.
- Enter Last Name, First Name, and Gender, then click Proceed.
- Click "Create New Person" then click Proceed.
- Click Proceed and don't enter Family Information.
- Enter Referral Date then enter Referral Time
- Fill remaining required fields and click Finish.
- Navigate to " Client > Client Information > Personal Information > Demographics".
- Click in Search and search for the name used in step 3.
- Validate the client does not exist.
Scenario 5: Validate Existing Staff With Same Name Display When Adding New
Specific Setup:
Existing Staff records with similar names.
Steps
- Navigate to "Agency > Staff & Security > Staff Information > Staff Profiles with Security".
- Click the "Select Name" button.
- Click the "New" button.
- Enter information within the "Last Name" field.
- Enter information within the "First Name" field.
- Enter a Gender within the "Gender" field.
- Click "Proceed".
- Check "Create new record" with information entered.
- Click "Proceed".
- Enter information within the "Job Title" field.
- Enter a "Start Date".
- Enter a "Supervisor.
- Enter applicable Managing offices in the "Managing Offices" field.
- Click Finish.
|
Topics
• Client
• Family Cases
• Groups
• Referral Application
• Setup
• Staff
|
837i Covered and Non-Covered Days
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Service Facilities Form Set
- Service Facilities Listing
- Service Facility [EDIT]
- Billing Batches Management
- Claim Output Ready
- 837 File
- FinanceClaims
Scenario 1: Validate Covered Days Output in BE:80 Segment of 837 Output File
Specific Setup:
- "MN DHS Occupancy Coefficient" is populated on service facility.
- "Include rate code in HI segment (for NYSDOH)" is not checked.
- "Include Covered Days in HI" segment is checked.
- "Output Non-Covered Days" is not checked on rate.
- Test system contains a test batch for this receiver with claims tied to the service facility above.
Steps
- Navigate to "Finance > Claim/Invoice Processing > Batch Listing > Billing Batches Management".
- Create the 837 output for your test batch.
- Start Billing Run.
- Download the 837 output file.
- Verify in the 837 file that all claims in this file have the following: "HI*BE:24:::[Coefficient Field]*BE:80:::[Number of days of service]".
- Note: The number after "BE:24" should always be the value entered for your test facility in the coefficient field. The number after "BE:80" should be the number of days/units for that claim.
Scenario 2: Validate Non-Covered Days Output in BE:81 Segment of 837 Output File
Specific Setup:
- "MN DHS Occupancy Coefficient" is not populated on service facility.
- "Include Covered Days in HI" segment is checked.
- "Include rate code in HI segment (for NYSDOH)" is not checked.
- "Output Non-Covered Days" is checked on rate.
- Test system contains a test batch for this receiver with claims tied to the service facility above.
Steps
- Navigate to "Finance > Claim/Invoice Processing > Batch Listing > Billing Batches Management".
- Create the 837 output for your test batch.
- Start Billing Run.
- Download the 837 output file.
- Verify in the 837 file that all claims in this file have the following: "HI*BE:80:::[Number of days of service]*BE:81:::[Number of non-covered days]".
|
Topics
• Finance
|
Staff Time Off in Staff Calendar
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Staff Information Form Set
- Staff Listing - Agency Employees (By People ID)
- Staff Schedule Details B2 Subform
- Weekdays
- Staff Time Off - People [ADD]
- Staff Calendar
- FrontDeskCheckIn
- FrontDeskCalendar
Scenario 1: Validate Staff Appointments in Staff Calendar
Steps
- Navigate to "Agency > Staff & Security > Staff Information > Work Schedule".
- Search and select desired Staff.
- Click the desired Schedule.
- Add another weekday schedule.
- Check "Schedule Applies to all Staff Managing Offices?" checkbox.
- Click Save.
- Navigate to "Agency > Staff & Security > Staff Information > Vacation Schedule".
- Click "Add New" button.
- Select "Add Event" from the "New/Scheduled" dropdown list.
- Select "Personal" from the "New Events" dropdown list.
- Fill out required fields.
- Click Save.
- Navigate to "Taskbar > Scheduled Tasks > Task List > Calendar".
- Click on the Scheduled Date.
- Validate the appointment displays once.
- Navigate to "Taskbar > Attendance Check In/Out > Check In/Out > Front Desk NX".
- Click the "View Calendar" button.
- Click desired Staff checkbox.
- Select Scheduled Date in the Month view.
- Validate a single record displays for the appointment record.
- Click Close.
|
Topics
• Calendar
|
Vendor Information Form Now Clears Create Prenotification
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Vendors Form Set
- Vendors Table
- Vendor Information [EDIT]
- ChecksCreationLog
- Check Log [VIEW]
Scenario 1: Validate "Create Prenotification" Flag Is Unchecked When “Has Direct Deposit” Is Unchecked
Specific Setup:
- Two vendors:
- Vendor1 "Has Direct Deposit" is checked.
- Vendor2 "Has Direct Deposit" is unchecked.
- Check created with both vendors billed.
Steps
- Navigate to "Finance > Accounts Payable > Vendors > Vendor Information".
- Select Vendor 1 from setup.
- Validate "Has Direct Deposit" is checked.
- Check "Create Prenotification".
- Uncheck "Has Direct Deposit" and verify "Create Prenotification" becomes unchecked and disabled.
- Navigate to "Finance > Claim/Invoice Processing > Create Checks (A/P) > Processing".
- Expand check row and facility row.
- Click Check No. for Vendor 1.
- Validate "Has Direct Deposit" is checked.
- Click Check No. for Vendor 2.
- Validate "Has Direct Deposit" is not checked.
- Navigate to "Finance > Accounts Payable > Vendors > Payments Made".
- Select Vendor 1 from setup.
- Validate Check # row contains "Is Direct Deposit" yes.
- Select Vendor 2 from setup.
- Validate Check # row contains "Is Direct Deposit" no.
|
Topics
• Finance
|
Scheduling Site
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- 1. Simple Service Entry [ADD]
- Scheduling Site - Staff Calendar
- Scheduling Site - Dashboard
Scenario 1: Validate Scheduled Events Duplicating
|
Topics
• SchedulingSite
|
View Lobby Form Logo
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Agency [EDIT]
- MedicationDispenseQueue
- Dispensation Facilities
- View Lobby Window
- Clients with active dispensation orders
- DispenseLobbyWindow
Scenario 1: Logos For Dispensing Lobby View
Specific Setup:
- The agency does not have a logo currently being used.
- At least two logos will exist:
- Logo1 will 45 pixels in height or smaller.
- Logo2 will be more than 45 pixels in height.
- The facility being selected has Clients in the "myAM Front Desk Dispensing Queue".
- The "window turnstile" version of the "Lobby View" is being used.
Steps
- Navigate to "Taskbar > Attendance Check In/Out > Check In/Out > myAM Front Desk Dispensing Queue".
- Select facility to be used with the precondition clients.
- Click the "View Lobby".
- Validate the lobby view displays and there is no logo.
- Navigate to "Agency Setup > Agency > Agency > Agency Information".
- Add Logo1 from preconditions.
- Save the form.
- Exit out of the system and then log back in.
- Navigate to "Taskbar > Attendance Check In/Out > Check In/Out > myAM Front Desk Dispensing Queue".
- Select facility to be used with the Clients from preconditions.
- Click the "View Lobby".
- Validate the lobby view displays.
- Validate the logo displays.
- Repeat the steps 6-13, using the Logo2 from preconditions.
- Validate the lobby view displays.
- Validate the logo displays.
|
Topics
• Dispensing
|
Front Desk NX Behavior
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- FrontDeskCheckIn
- FrontDeskCalendar
- Front Desk People Search
- Staff - Service Providers (by Staff_id) NES
- Front Desk Calendar Appointment [ADD]
- Program Listing By Agency and Worker
- Active events by Program or Clinic2
Scenario 1: Validate Appointments With Multiple Agency Program Service Links Enabled Can Be Scheduled in Front Desk Calendar
Specific Setup:
Available event with multiple agency program service links enabled to schedule.
Steps
- Navigate to "Taskbar > Attendance Check In/Out > Check In/Out > Front Desk NX".
- Click View Calendar.
- Choose desired staff and schedule new event.
- Select event from setup, fill form and save.
- Validate Event appears on schedule.
- Close the Calendar window.
- Click Refresh.
- Validate event appears in Scheduled column.
- Check in event.
- Validate event moves to Checked In column.
|
Topics
• Calendar
• Front Desk
|
NX Routing and Notes To Complete Widget
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Client Search
- Print Preview
- UpdateHistory
- Select Group
- Get Date Time [EDIT]
- Activities - Group Activities [EDIT]
- Activities - Group Activities [VIEW] *SIGNED*
- Activities Short Form wo Acts(Read Only) [EDIT]
Scenario 1: Validate NX Routing And Notes To Complete Widget
Specific Setup:
- Requires an event that is linked to "Basic Approval Route".
- Scenario assumes Routing Conversion has been completed.
Steps
- Navigate to "Client > Case Management > Service Management > Service Entry".
- Select desired client.
- Click "Add Event".
- Select desired event.
- Fill in required fields.
- Save.
- Navigate to "Taskbar > My Homeview > Homeview Launcher > Homeview".
- Open the "Notes To Complete" widget.
- Validate the event is listed.
- Open the event and click "Routing" button to start the route.
- Validate the "Current Assignee" contains desired staff.
- Validate "Routing Timeline" exists with current date/time.
- Set "Route For Approval" input box to desired staff.
- Enter a note into the "Notes" field.
- Click "Route".
- Validate the event is no longer listed in the widget.
|
Topics
• Groups
• Routing
• Widgets
|
Dispense Screen Unassigned Doses
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Security Schemes
- Security Scheme [EDIT]
- FrontDeskCheckIn
- Medication Dispensing
- Prepour Unassigned
- Alert
- Dispense
- Confirm Dose(s) to Dispense
- Return
- Return Dose
Scenario 1: Unassigned Dosing - Validate Counts Are Accurate
Specific Setup:
- Unassigned Dosing is being used.
- Client must have a medication order for the amount of doses.
- Navigate to "Agency Setup > Staff and Security Setup > Navigation Access > Access Definition".
- Click the "Dispense Setup" tab.
- Validate the "Has Unassigned Prepour Access" checkbox is on.
Steps
- Navigate to "Taskbar > Attendance Check In/Out > Check In/Out > Front Desk NX".
- Click the "Dispense" button.
- Pour an unassigned dose.
- Validate it increases and is accurate.
- Pour a second.
- Validate it increases and accurate.
- Dispense a Client an unassigned dose.
- Validate the number decreases.
- Return a dose validate it increases.
|
Topics
• Inventory
• myAM
|
Workflows - Refresh Scheduled Tasks/Events Utility
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Client Search
- EvolvUtils
- Person Information [ADD]
- Wizard
- Initial Enrollment for New Person [ADD]
- Program Listing By Agency and Worker
- Worker Role (to a client or in a workgroup) Table
- Wizard Search
- Gender Table
- Critical Information
- Agency Discharge [EDIT]
- Event Definitions (Plain)
- Closing Reasons - Service Track Table
- Outcome/Results - Service Track Table
- Workflow Rules Manager
- Rule Designer [ADD]
- WorkFlow Header/Grouping
- Qualifiers Subform
- Workflow Qualifiers
- Workflow Triggers [ADD]
- Triggering Events
- Workflow Tasks [ADD]
- Schedules [ADD]
Scenario 1: Validate Workflows - Refresh Scheduled Tasks/Events Utility
Specific Setup:
Requires an event that was previously scheduled by a workflow that is overdue.
Steps
- Navigate to "Taskbar > System Maintenance > Application Maintenance > Utilities".
- Click "Run" on the utility "Workflows - Refresh-Scheduled Tasks/Events".
- Click on "Running and Recent Jobs" tab.
- Validate the "Refresh Tasks" job is listed.
- Wait for it to complete.
- Navigate to "Client > Reports > At a Glance > Scheduled/Due Tasks".
- Select desired client.
- Validate the "Scheduled Event" is listed and the "Due Date" has not changed.
Scenario 2: Validate Workflow Triggers Based on Program Enrollment
Specific Setup:
Requires a workflow that will trigger events based on program enrollment.
Steps
- Navigate to " Client > Client Information > Critical Information > Enrollment Information".
- Create a new client.
- Enroll the client into a program that will trigger the workflow.
- Navigate to "Client > Reports > At a Glance > Scheduled/ Due Tasks".
- Validate the desired scheduled event has been scheduled.
|
Topics
• Service Entry
• Utilities
• Workflows
|
NX Custom Reporting Reports Printing
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Conditional Formatting Configuration
- Report Designer
- NX Report Processor
- Chrome Print Preview
Scenario 1: Validate Custom Reporting Report Prints All Pages
Specific Setup:
Available report which produces a large number of outputs which when "paging" is enabled, results in at least 2 pages.
Steps
- Navigate to "Reports > NX Custom Reporting > NX Custom Reporting > Custom Reporting".
- Click the Report Designer tab.
- Select desired report.
- Launch the report.
- Click "Run Report".
- Confirm that in the results table, paging is shown in use ("Page x of y" and "Displaying 1-a of b").
- Click "Save as PDF".
- Confirm "Save as PDF".
- Open the saved PDF file and confirm that all rows are shown without paging enabled.
- Close PDF file.
- Click "Print Report".
- Confirm in the print preview that all rows are shown without paging enabled (the font size is increased for printing, so this will look longer than the PDF).
|
Topics
• NX Custom Reporting
|
Billing Processing Following Canceling Billing Request
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Billing Batches Management
- Immediate Billing Run Request [ADD]
- Submitter Information
- Billing Run Request Limit People Subform
- All People with Benefit Assignments with LOS
- Billing Batch Management 2.0 Form Set
- BillingProcessHistory
Scenario 1: Validate Next Billing Interval Completes After Canceling Billing Request
Steps
- Navigate to "Finance > Claim/Invoice Processing > Batch Listing > Billing Batches Management".
- Click "New Run" and start a new billing run.
- Fill in required fields to generate a "Billing Request".
- Click "Billing Processing History" tab.
- Click "Start Billing Now".
- Validate "Billing Processing log" is visible.
- Click "Actions" button and select "Cancel Job".
- Click "Billing Batches Management" tab.
- Click "Actions" button and select "Delete Request".
- Wait for request to delete.
- Click "New Run" and start a new billing run.
- Wait for next billing interval.
- Validate "Billing Run" processes and generates desired claims.
|
Topics
• Finance
|
Billing Run Processing Time
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Billing Batches Management
- Billing Run Request Limit People Subform
- All People with Benefit Assignments with LOS
- Billing Batch Management 2.0 Form Set
- BillingProcessHistory
- FinanceInvoices
- Claim/Invoice Batch [VIEW]
- Claim Output Ready
- Billing Request Payroll Run [ADD]
- Agency [EDIT]
- Payroll Output Type
- Notepad
- Staff Look Up Their Own Information Form Set
- Generic Staff Service [ADD]
- Program Listing by Agency and Service Event
- Provider Sites by Program/Service
- Staff Information Form Set
- Staff Listing - Agency Employees (By People ID)
- Payroll Info [EDIT]
- Payroll Rate Set
- Invoice Payroll [EDIT]
Scenario 1: Validate Payroll Run And Generate Output
Specific Setup:
- Requires a staff that is set up to receive payroll.
- Requires a client with a service that has been provided by this staff.
- Requires a payroll rate to be set up to generate an invoice for this service.
Steps
- Navigate to "Finance > Claim/Invoice Processing > Batch Listing > Billing Batches Management".
- Click "New Run" button and select "Payroll Run".
- Fill in required fields to generate desired "Payroll Invoice".
- Save.
- Start a billing run.
- Validate desired "Payroll Invoice" is generated.
Scenario 2: Validate Non Contract Payroll Invoice For Staff Event
Specific Setup:
Requires a "Payroll Rate Set" linked to a "Non-Contract Payroll" rate.
Steps
- Log in as staff who is entering the "Staff Non Client Service".
- Click on "Staff Look Own Information" in top right corner.
- Click on "Staff Non Client Services".
- Add desired "Staff Event".
- Save.
- Log off and log in as "Administrator".
- Navigate to "Agency > Staff & Security > Staff Information > Payroll Details".
- Select desired staff.
- Click "Actions" button and select "Open Form".
- Check the flag "Receives Payroll based on services provided".
- Select desired "Payroll Rate Set".
- Save.
- Navigate to "Finance > Claim/Invoice Processing > Batch Listing > Billing Batches Management".
- Click "New Run" button and select "Payroll Run".
- Fill in required fields to generate desired "Payroll Invoice".
- Save.
- Start a billing run.
- Validate desired "Payroll Invoice" is generated.
|
Topics
• Agency Setup
• Finance
• Staff
|
Billing Run Requests With Missing Receiver And No Resulting Batches
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Billing Batches Management
- Immediate Billing Run Request [ADD]
- Submitter Information
- Billing Run Request Limit People Subform
- All People with Benefit Assignments with LOS
- Billing Batch Management 2.0 Form Set
- BillingProcessHistory
Scenario 1: Validate Generating Multiple Billing Request
Specific Setup:
Requires services that can be billed in different batches.
Steps
- Navigate to "Finance > Claim/Invoice Processing > Batch Listing > Billing Batches Management".
- Click "New Run" and select "Immediate Run".
- Fill in required fields to generate desired claims.
- Save.
- Repeat steps 2 and 3 to generate a few more "Billing Requests".
- Wait for billing to run.
- Refresh.
- Validate desired batches have generated.
|
Topics
• Finance
|
Merge Utility Prevents Staff Selection
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Merge Utility
- People Search
- Call Center Search Forms [EDIT]
- Call Center Search Forms [ADD]
- Gender Table
- Staff Information Form Set
- Staff Listing - Agency Employees (By People ID)
- Person Information No Anonymous [ADD]
- Wizard
- New Staff [ADD]
- Job Title Listing - Employees
- Staff-Site Link Subform
- Managing Offices By Agency Operated
Scenario 1: Validate Prevent Deletion Of People Record Tied to Staff Profile
Specific Setup:
- Available staff to select in Merge Tool.
- Access to create new staff.
Steps
- Navigate to "Taskbar > System Maintenance > Application Maintenance > Merge".
- Select a Staff under "Duplicate Person".
- Validate "This people record is linked to a staff profile; staff profiles are not allowed in merge utility" message displays.
- Navigate to "Taskbar > Call Center > Call Center > Call Center".
- Start a new call.
- Enter person information and click "Create new person".
- Do not enter intake information and click "Save and Close".
- Navigate to "Taskbar > System Maintenance > Application Maintenance > Merge".
- Select the new person under "Duplicate Person".
- Open a new tab of myEvolv.
- Navigate to "Agency > Staff & Security > Staff Information > Personal Info".
- Click Select Name.
- Create a new staff and link them to new person created from earlier.
- Switch back to original myEvolv tab.
- Click "Delete Duplicate".
- Validate "This people record is linked to a staff profile; staff profiles cannot be deleted" message displays.
|
Topics
• Call Center
• Staff
• Taskbar
• Utilities
|
Reprocessing Failed Billing Batches
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Billing Batches Management
- Billing Batch Management 2.0 Form Set
- BillingProcessHistory
Scenario 1: Validate After Reprocessing Failed Billing Run, Claims Are Regenerated
Specific Setup:
Available failed billing batch that should have claims able to be reprocessed.
Steps
- Navigate to "Finance > Claim/Invoice Processing > Batch Listing > Billing Batches Management".
- Filter for the known failed billing batch that should have produced claims.
- Reprocess the Billing Batch.
- Navigate to "Billing Processing History" tab.
- Start the billing run.
- Validate billing run successful.
- Navigate to "Billing Batches Management" tab.
- Filter for same billing batch.
- Validate billing batch status no longer displays as "Failed".
- Validate claims have been processed.
|
Topics
• Finance
|
Import Forms
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Interface Design Form Set
- FileUploadForm
- Form Families - Client Mode
- FormDesigner
- NX Sub Report [EDIT]
- NX Test [EDIT]
- Sub Reports - User Form Set
- Sub Reports - Users
- User Sub Report Designer [EDIT]
Scenario 1: Form Designer: Validate Form Import Operations
Specific Setup:
- Two files must be created: a JSON file created by exporting a custom Form, and any file type that is not JSON.
- The JSON created above must have been exported from one compatible Evolv system, and be used to test the importing for another compatible Evolv system.
Steps
- Navigate to "Setup > User Tools > Interface Designer > Form Designer".
- Click "Import Forms".
- Choose desired file that is not a supported format.
- Verify a validation message is shown.
- Choose desired JSON file.
- Click "Upload".
- Validate the custom "Form" was uploaded or not uploaded based on the results shown.
- Click "Form Designer".
- Select desired "Form Family".
- Validate the "Form Table" contains desired custom "Form".
- Validate all "Form Elements" are properly imported and linked.
|
Topics
• Forms
• Setup
|
Improved Billing Performance
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- Billing Batches Management
- Immediate Billing Run Request [ADD]
- Submitter Information
- Billing Run Request Limit People Subform
- All People with Benefit Assignments with LOS
- Billing Batch Management 2.0 Form Set
- BillingProcessHistory
- AR Management
- Cash Receipts for Remittance
Scenario 1: Validate Generating Multiple Billing Request
Specific Setup:
Requires services that can be billed in different batches.
Steps
- Navigate to "Finance > Claim/Invoice Processing > Batch Listing > Billing Batches Management".
- Click "New Run" and select "Immediate Run".
- Fill in required fields to generate desired claims.
- Save.
- Repeat steps 2 and 3 to generate a few more "Billing Requests".
- Wait for billing to run.
- Refresh.
- Validate desired batches have generated.
Scenario 2: Validate Ability To Start Billing Now While "Calculate Rate" in Process
Specific Setup:
- Test requires two finance users; one of whom has access to "Finance > Claim/Invoice Processing > Batch Listing > Billing Processing History".
- Test system must have claims that can have Calculate Rate applied in "Finance > Remittance Processing > Remittance Application > AR Management".
- Test system must have billing interval set long enough to allow the test to be performed without the interval picking up available runs.
- Test system requires a billing request to be submitted and ready to run.
Steps
- One test user will pull up desired test claims in AR Management and add status and action.
- Working in coordination, this tester will select "Calculate Rate" for these claims.
- While Calculate Rate is running, the second tester will click "Start Billing Now" from "Finance > Claim/Invoice Processing > Batch Listing > Billing Processing History".
- Validate that system displays message "Billing Job Started".
- Click "Refresh"; validate that the billing job is executing.
- Cancel the "Calculate Rate" changes if desired.
|
Topics
• Finance
|
NIAM User Timeout
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
Scenario 1: Validate User Can Log Back in Successfully Following Timeout
Specific Setup:
Access to "Setup > System > EvolvCS System Setup > System Settings/Preferences".
Steps
- Navigate to "Setup > System > EvolvCS System Setup > System Settings/Preferences".
- Verify and take note of "Inactivity Timeout" value.
- Wait for X amount of minutes.
- Validate Timeout warning appears last 5 minutes of inactivity.
- Validate successful logout.
- Log back in using same user.
- Validate successful login from timeout screen.
Scenario 2: Validate NIAM Users Able To Log Back Into Session Following Timeout
Specific Setup:
- "Inactivity Timeout (hh:mm)" set to 5 minutes.
- User configured for NIAM login.
- myEvolv setup for NIAM logins.
Steps
- Login with NIAM user.
- Wait for timeout.
- Attempt to log back in.
- Validate successful login after timeout.
Scenario 3: Validate NTST User Able to Login Following Timeout
|
Topics
• Setup
|
Performance Improvements for Eligibility (271) Imports
Note - These testing guidelines assume the user is skilled in the use of, at a minimum, the following:
- FinanceImportListing
- Finance File Import
- Report: Clients Processed OK
- Report: Benefits Details
- Eligibility File
- Client Search
- Benefit Assignment [EDIT]
- Finance > Imports/Exports > Imports > Eligibility (271) Imports
Scenario 1: Validate Eligibility (271) Import
Specific Setup:
Requires a 271 Eligibility Import File.
Steps
- Navigate to "Finance > Imports/Exports > Imports > Eligibility (271) Imports".
- Click "Upload File".
- Select desired "271 Import File".
- Click "Upload".
- Validate "Information About The Uploaded File" is visible.
- Close the window.
- Validate the screen refreshed and it contains the uploaded "271 File".
- Click "Actions" and select "Client Processed Ok".
- Validate the report contains desired information.
- Close the report.
- Click "Actions" and select "Benefits Detail".
- Validate the report contains desired information".
- Close the report.
- Navigate to "Client > Client Information > Personal Information > Benefit Assignments".
- Select a client from the "271 File".
- Open the "Benefit Assignment".
- Click on "271 Information".
- Validate the "271 Eligibility History" SubReport contains desired information.
|
Topics
• Finance
• Finance Setup
• Reports
|