Payment Reconciliation
A payment reconciliation in Care is the record of a single payment made toward a patient's account — how much was paid, how, when, and by whom. It is how money received at the counter, online, or as a deposit becomes a traceable entry against what the patient owes.
What it represents
In Care's FHIR-aligned model, a payment reconciliation maps to the PaymentReconciliation resource. It captures:
- Who paid and how — whether the payer is the patient or an insurer, and the payment method (cash, card, cheque, direct deposit, and similar)
- What it applies to — the account being paid against, and optionally the single invoice this payment settles
- How much — the amount tendered, any amount returned as change, and the net amount that lands on the account
- Context — when the payment happened, where it was taken (e.g. a billing counter), and references such as a cheque or authorization number
A payment reconciliation is not a bill. The invoice states what is owed; the payment reconciliation records what was actually paid. Several payments can be recorded against one account over time, and a payment can also be a refund or credit note rather than money coming in.
How money is calculated
Care does not simply trust a single "amount" field. Each payment carries two figures, and the net is derived from them:
- Tendered amount — what the payer handed over
- Returned amount — what was given back (typically change)
- Amount — the net that posts to the account, always computed as
tendered − returned
This keeps cash handling honest: the returned amount must be smaller than the tendered amount, and the net is calculated server-side rather than taken at face value. A record can also be flagged as a credit note, which inverts the meaning — money owed back to the payer rather than money received.
Classification
Each payment is tagged so it can be reported and audited consistently. The tags answer a few plain questions:
- Why — its
type: a normalpayment, anadjustment(a correction), or anadvance(paid ahead of charges) - How it arrived — its
kind:deposit,periodic_payment,online, orkiosk - Who is paying — its
issuer_type: thepatientor aninsurer - What instrument — its
method: cash, credit card, cheque, debit card, direct deposit, and similar, drawn from standard HL7 payment-method codes - Where processing landed — its
outcome:queued,complete,partial, orerror
Lifecycle
A payment moves through a small set of states that mirror real-world handling:
draft → active → cancelled / entered_in_error
- draft — being prepared, not yet a final record of money received
- active — a confirmed payment that counts against the account
- cancelled — a once-valid payment that has been voided
- entered_in_error — recorded by mistake; kept for audit but excluded from balances
How it connects
A payment reconciliation always sits inside the billing picture for one patient:
- It is recorded against an account — the running ledger for a patient, which is always required.
- It may optionally be allocated to one invoice, settling that specific bill. With no invoice, the payment simply credits the account balance.
- It is anchored to a facility and may record the location where the payment was taken (e.g. a billing counter).
Because it points at an account and, through that account, at the patient, a payment reconciliation ties financial activity back to the same person whose encounters and orders drove the charges.
Permissions
Access to payment records is governed by facility-scoped role-based permissions.
| Permission | Description | System Roles |
|---|---|---|
can_write_payment_reconciliation | Create, update, cancel within the free-cancel window, or reassign payment records to another account | Facility Admin, Admin, Staff, Doctor, Nurse, Pharmacist |
can_read_payment_reconciliation | List and view payment records | Facility Admin, Administrator, Admin, Staff, Doctor, Nurse, Volunteer, Pharmacist |
can_destroy_payment_reconciliation | Cancel a payment record after the free-cancel window has passed | Facility Admin, Admin |
Roles are granted through a user's facility and organization memberships, and permissions cascade down the organization tree, so a role held higher up applies to the facilities beneath it.
Related
- Reference: Payment Reconciliation (technical)
- Concept: Account
- Concept: Invoice
- Concept: Charge item
FHIR reference
This concept aligns with the FHIR PaymentReconciliation resource, which records the outcome of payment processing against accounts and invoices.