Public Release Notes - Manage 11.0.0
March 31st, 2025 Manage 11.0.0
- New Zealand country layer with localized settings for various modules to ensure compliance and efficient management.
- NZ-specific fields added to the Patient module, Location, and Specialist settings for ACC regulations.
- Stock take functionality for accurate inventory management, allowing users to handle audit requests more effectively.
- ACC-compatible invoicing and automatic tax calculations, ensuring seamless financial operations.
- Specialist profile extension with new fields for personal details to ensure accurate specialist information handling.
- Claiming enhancements for US users, improving compliance with CMS-1500 form and electronic 837P file standards.
New Zealand Country Layer
Below is an overview of the key functionalities available to NZ users.
- Provider Number – Required for ACC submission.
- NZAS Registration Number – Ensures compliance with ACC accident-related claims.
- HPI Number – Provides a unique identifier for healthcare providers, ensuring accurate service attribution.
- Suburb – Enhances address formatting accuracy for NZ users.
- ACC Vendor ID – Ensures correct attribution of services and payments within the ACC system.
- GST Number – Identifies businesses registered for Goods and Services Tax, ensuring tax compliance.
- Comprehensive patient records, including:
- NHI Number storage and search functionality.
- NZ-specific address fields for compliance with local formatting.
- ACC payer registration included for efficient invoicing.
- ACC and other payers claim registration.
SCHEDULER
- Automated tax calculations based on administrator-defined settings in Environment settings.
- Product tax assignment directly within Inventory.
- HI Trials functionality available for tracking patient hearing aid trials.
- ACC and private payer invoicing with compliant document templates that include funding codes and tax breakdowns. Users can allocate payments across multiple payers, ensuring accurate distribution of costs and reimbursements.
To assist new users in getting started with Manage, we offer a range of support materials:
- User Manual – A comprehensive guide to Manage features and functionalities.
- Online Training Courses – Interactive courses available in the Auditdata Help Center to help users navigate the system efficiently.
Streamlined Stock Take Process
- Enhanced Security: Users can only perform actions based on their assigned roles, ensuring that sensitive information is protected.
- Improved Efficiency: The predefined status flows guide each audit request through a clear and structured process, reducing the time and effort required to manage audits.
- Role-Specific Capabilities: Managers and Specialists have tailored permissions that align with their responsibilities, promoting accountability and clarity in the audit process.
- Managers: View, create, modify, and delete audit requests.
- Specialists: View audit requests and update specific fields within them to ensure accurate stock calculations.
- Draft: The initial stage where the audit request is created and can be edited by the request creator.
- Ready for Calculation: The stage where the audit request is prepared for calculation and can be reviewed by Specialists.
- In Progress: The stage where the audit request is actively being worked on and updated by Specialists.
- Finalized: The stage where the audit request is completed and reviewed, with no further changes allowed.
- Done: The final stage where the audit request is fully completed and closed.
- Cancelled: The stage where the audit request is cancelled, and no further actions are taken.
- Find requests by using filters or the search bar.
- Copy or delete an existing request by using the options button.
- Sort columns (Status, Request #, Location, Date/time creation, Date/time due) in ascending or descending order by clicking on them.
Create Audit Request
To create an Audit Request, an inventory manager needs to:
- Click on +AUDIT REQUEST in the STOCK TAKE view.
- Specify the Location, Date due, and Time due.
- Select the following attributes to determine the process of the stock take:
- Blind stock calculation: This option will hide the expected stock quantities from the user performing the stock take, requiring them to count the stock without knowing the expected quantities.
- Indicate S/N: This option will require the user to indicate the serial numbers (S/N) of the products during the stock take (if these products are serialized).
- Add all products from catalog: This option will include all active, stock-controlled products from the product catalog in the audit request.
- Include “On Trial” products: This option will ensure that products currently undergoing trial periods, as well as those being tested or evaluated for potential use, are part of the audit request.
- Upon clicking CREATE, an audit request will be created in the DRAFT status. While in this status, the request is only visible to the user who created it.
Audit request attributes can only be selected on the “Create Audit Request” dialog.
For security reasons, such as ensuring data integrity and access control, as well as technical reasons, such as optimizing system performance and maintaining database consistency, this selection is finalized and locked once the user clicks CREATE audit request.
If an audit request needs to have any other parameters selected, a new audit request must be created.
- The audit request can be edited by the Specialist only when it is in the "Ready for Calculation" or "In Progress" status.
- The audit request can be edited by the Manager for all statuses except "Done."
Non-Blind Stock Calculation
The Non-Blind Stock Calculation process allows a Specialist to conduct an audit with full awareness of the existing stock levels. During this procedure, the Specialist verifies stock quantities and assigns serial numbers (S/N) to each product, provided the “Indicate S/N” parameter was activated on the Audit Request.
- Serial numbers on location stock will be displayed as non-editable entries.
- Drop-down lists next to each serial number will contain the following statuses: Unverified (default), Verified, Missing.
- Each serial number will have a corresponding comment field.
It is possible to add S/Ns, using the corresponding control.
- Each S/N must be unique per Manufacturer.
- If the S/N already exists in another location or is already assigned to a different product, the system will notify you accordingly.
To efficiently manage and review discrepancies, especially in long lists of audited items, you can use the "Show only discrepancies" filter located under the search and filter panel. This filter will help you quickly isolate and address any discrepancies found.
The Blind stock calculation process allows a Specialist to conduct an audit without prior knowledge of the existing stock levels. During this procedure, the Specialist assigns serial numbers (S/N) to each product, ensuring accurate tracking and identification. If any products are found to be missing from the inventory list, the Specialist has the flexibility to manually add them, ensuring comprehensive and precise stock management.
Verify S/N
NOTE: Serial number verification process applies only to serialized products. For these products, the Specialist will be prompted to add the serial numbers.Export Audit Request
- The exported file is easily identifiable, as its name consists of "Stocktake" followed by the location and the current date-time. This naming convention ensures that each file is unique and can be easily traced back to its specific audit request. For example, a file exported from Sydney on January 25, 2025 at 15:58:23 would be named "Stocktake_Sydney20250125155823".
- The file will contain comprehensive details on audited products, including category, product name, supplier and manufacturer information, expected and counted quantities, as well as any comments.
[US] Specialist Profile Extension
- When a new Specialist is added, it is possible to define: First name, Last name, Middle name. First and Last name fields are mandatory.
- When an existing Specialist is updated, First name, Last name, Middle name fields are read-only.
- If the Specialist name consists of one word, it is migrated to the First name field and duplicated to the Last name field.
- If the Specialist name has more than one word, the part before the first space goes to the First name field, and the second part goes to the Last name field, even if there are more spaces.
FINANCE
[US] Claim Form Enhancements
- When adding a Referring Provider or Other Source, users must select the appropriate type (Ordering, Referring, or Supervising) from the dropdown list in the Qualifier field (1).
- For electronic claim submission, First and Last Name and NPI number are required (2).
- Newly added Field 17a (3) captures the Other ID Number (non-NPI number) if applicable.
The Other ID Number field is now divided into: - ID Qualifier dropdown to select the appropriate qualifier.
- Other ID field for entering the corresponding number.
- These fields are automatically included in printed claim forms.
- For electronic claim submission, the Rendering Provider must include First and Last Name and NPI Number (4).
- Selecting a Specialist from your location retrieves the NPI number automatically if stored in Specialist settings. Otherwise, it must be entered manually.
- New fields have been introduced to capture additional provider IDs for cases where a non-NPI number is required:
- 24I and 24J. Rendering Provider Other ID (5)
- 32b. Facility Other ID Number (6)
- 33b. Billing Other ID Number (7)
For more details on completing the claim form, refer to the latest version of the 1500 Health Insurance Claim Form Reference Instruction Manual and check payer requirements before submission.
Get - Obtain Appointment Confirmation Types [v2]
To simplify appointment management and monitoring, you can now use GET requests to obtain appointment confirmation types through the Manage Public API. The information provided includes key details such as:
- Confirmation Type ID
- Confirmation Type Name
- Confirmation Type Status
Get, Post, Put, Patch - Manage Location Access [v1]
The "All locations" attribute has been implemented in the User Management API. This update supports various methods such as POST, PUT, PATCH, and GET, making it easy to integrate and utilize within existing workflows.
- Viewing all users in the system, including their access to all locations.
- Adding new users with the "All locations" attribute, ensuring they have access to all locations.
- Modifying the "All locations" attribute for existing users, allowing changes to their access permissions.
- Updating user data, including the "All locations" attribute.
- Retrieving detailed information about specific users, including their access to all locations.
- Retrieving user details by email, including the "All locations" attribute.
Get, Post - Manage Resources for Online Booking [v1, v2]
- Through GET requests, users can retrieve available resources.
- Through POST requests, users can create appointments with the selected resources.
4.1 Current System Requirements
| Operating systems | Windows 10, Windows 11, macOS |
| Supported browsers | Chrome (latest version), Edge (latest version) |
| Language preferences | English |
| Country layers | UK, AU, US, NZ |
| Bridge version | Bridge BE - 2.3.2 + Client 2.3.2 |
| Listo version |
1.3.3, 2.0.0 |
| Zapier version | AuditData (4.2.4) |
| Screen resolution | 1920x1200 |
| Internet connection speed | 10Mb/s |
4.2. DWH Schema Changes
The Data Warehouse (DWH) structure is uniform across all country layers. However, for operational convenience, each country layer can only access data relevant to them, with data access being managed at the customer level.
| TABLE | CHANGE TYPE | COLUMN NAME |
| Dim_Specialist | Added | NzPayerId EnvironmentID Number ExpirationDate FunderId PatientId SaleId CreatedBy CreationDate ChangedBy ChangeDate IsDeleted PayerType ApprovedBand ClaimDate ClaimNumber Info LoadTime DataLoadTimestamp |
| Dim_User | Added | OrderProductSerializedItemId CreatedBy ChangedBy CreationDate ChangeDate EnvironmentId OrderProductId StockProductItemId SerialNumber Info LoadTime DataLoadTimestamp |
| Fact_UkSales | Added | NzCreditNoteId EnvironmentID Number CreditNoteExchangeReasonId CreationDate CreatedBy ChangedBy ChangeDate IsDeleted Info LoadTime DataLoadTimestamp |
| Fact_UkProducts | Added | NzDeliveryNoteId EnvironmentID ActualDeliveryDate StartWarrentyDate Number CreationDate CreatedBy ChangedBy ChangeDate IsDeleted Info LoadTime DataLoadTimestamp |
| Dim_Supplier | Added | NzInvoiceId CreationDate ChangeDate CreatedBy ChangedBy CurrentState Number SaleId CorrelationId IsDeleted EnvironmentID Info LoadTime DataLoadTimestamp |
| Fact_AutomaticBatteriesProvisions | Added | NzNoteId EnvironmentID Text PayerId SaleId CreatedBy CreationDate ChangedBy ChangeDate IsDeleted Info LoadTime DataLoadTimestamp |
| Fact_RepairOrders | Added | NzPayerAllocationId EnvironmentID AllocationAmount PayerId CreationDate CreatedBy ChangedBy ChangeDate IsDeleted AccPayerAllocationData_AccContribution_Code AccPayerAllocationData_AccContribution_Contribution AccPayerAllocationData_AccContribution_Description AccPayerAllocationData_AccContribution_MaxContributionWithTax AccPayerAllocationData_AccContribution_MaxContributionWithoutTax AccPayerAllocationData_FittingFee_Code AccPayerAllocationData_FittingFee_Contribution AccPayerAllocationData_FittingFee_Description AccPayerAllocationData_FittingFee_MaxContributionWithTax AccPayerAllocationData_FittingFee_MaxContributionWithoutTax AccPayerAllocationData_MdpContribution_Code AccPayerAllocationData_MdpContribution_Contribution AccPayerAllocationData_MdpContribution_Description AccPayerAllocationData_MdpContribution_MaxContributionWithTax AccPayerAllocationData_MdpContribution_MaxContributionWithoutTax AccPayerAllocationData_ServicesAllocationAmount Info LoadTime DataLoadTimestamp |
[AU] Incorrect "HSP Plan expired" warning for patients with active HSP plans
- The issue causing the "HSP Plan expired" error message to appear for patients with a Battery & Maintenance (B&M) plan expiry date set to more than one month in the future has been resolved. Previously, patient records with B&M plan expiry dates of one month or longer were disabled, and patient details could not be opened, in addition to the warning being shown. Now, these patient records are accessible as expected, and the error message no longer appears for patients with an active B&M plan.