ASC X12 Version: 005010 | Transaction Set: 820 | TR3 ID: 005010X306
Example 04: Charges Exceed Payments (SHOP) — Initial Payment (Optional) | Payment Type Code: INVOICE
This scenario is for the January 2014 coverage month for a SHOP Only Issuer. Subscriber 1: Jane Smith, Exchange Assigned Subscriber Identifier 777222. Subscriber 2: John Doe, Exchange Assigned Subscriber Identifier 777223. Program: Balancing Amount to bring the BPR02 field to $0.
Jane Smith | UF | -$25 |
John Doe | UF | -$15 |
Program | BAL | $40 |
Net Payment | $0 |
Transmission Explanation
Table 1
ST*820*0001*005010X306~
Beginning of an HIX 820 transaction set, Control Number (0001).
BPR*I*0*C*NON************20140110~
Total payment amount is $0. No payment was made. The date the 820 was created is January 10, 2014.
TRN*3*123456789123457~
The unique remittance identification number (123456789123457).
N1*PE*USINS*FI*121231234~
The payee’s name (USINS) with Tax ID number (121231234).
N1*RM*CMS*58*CMS~
Payer’s name and identifier are both CMS.
PER*IC*EXCHANGE OPERATIONS CENTER*EM*CMS_FEPS@cms.hhs.gov*TE*8002671515~
The Payer’s informational contact email (CMS_FEPS@cms.hhs.gov) and telephone number (1-800-267-1515).
Table 2
ENT*1~
Start of detail loop for first detailed payment record.
NM1*IL*1*SMITH*JANE****C1*777222~
The subscriber’s name (JANE SMITH) and Exchange Assigned Subscriber Identifier (777222).
REF*38*12346MD000011222~
Exchange Assigned Qualified Health Plan Identifier (12346MD000011222).
REF*1L*987654~
Issuer Assigned Employer Group Identifier (987654). This indicates the enrollment is from a SHOP exchange.
REF*POL*4567~
Exchange Assigned Policy Identifier (4567).
REF*AZ*PLAN1~
Issuer Assigned Policy Identifier (PLAN1).
REF*0F*SUB123~
Issuer Assigned Subscriber Identifier (SUB123).
RMR*ZZ*UF**-25~
RMR02 refers to a code list published and maintained by CMS representing the Exchange Payment Type. The FFM UF amount for this policy is -$25.
DTM*582****RD8*20140101-20140131~
The coverage period for this transaction (01/01/2014 – 01/31/2014).
ENT*2~
Start of the detail loop for second detailed payment record.
NM1*IL*1*DOE*JOHN****C1*777223~
The subscriber’s name (JOHN DOE) and Exchange Assigned Subscriber Identifier (777223).
REF*38*12346MD000011237~
The Exchange Assigned Qualified Health Plan Identifier (12346MD000011237).
REF*1L*678910~
Issuer Assigned Employer Group Identifier (678910). This indicates the enrollment is from a SHOP exchange.
REF*POL*5678~
The Exchange Assigned Policy Identifier (5678).
REF*AZ*PLAN2~
The Issuer Assigned Policy Identifier (PLAN2).
REF*0F*SUB234~
The Issuer Assigned Subscriber Identifier (SUB234).
RMR*ZZ*UF**-15~
RMR02 refers to the Exchange Payment Type code list published and maintained by CMS. The UF amount for this policy is -$15.
DTM*582****RD8*20140101-20140131~
The coverage period for this transaction (01/01/2014 – 01/31/2014).
ENT*3~
Entity 3 is an example of a transaction at the program level, BAL is a balancing loop which brings the BPR02 Total amount to $0 for NON Payment Method Code types. No policy information (2100 Loop) is provided for program level transactions.
RMR*ZZ*BAL**40~
RMR02 refers to a code list published and maintained by CMS representing the payment type. The Balancing Adjustment (BAL) transaction amount for this payee is $40. This brings the BPR02 total to $0.
DTM*582****RD8*20140101-20140131~
The coverage period for this transaction (01/01/2014 – 01/31/2014).
Table 3
SE*28*0001~
Transaction Set Trailer with segment count (28) and Control Number (0001).