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Funding Exchange Exporting Claims
Key Points
Funding Exchange is used to export claims to NDIS and Aged Care portals.
Supports both:
- CSV exports (manual upload)
- API exports (automated submission)
Provides full control over:
- Claim selection
- Filtering
- Validation
Includes reconciliation via remittance upload.
What is the Funding Exchange?
The Funding Exchange is the central claiming tool in FlowLogic.
It is used to:
- Export claims to funding bodies
- Review claim data before submission
- Track previously exported claims
This is a critical step in:
- Billing
- Claiming
- Financial reconciliation
How to Access Funding Exchange
To access:
- Go to Finance and Payroll
- Select Funding Exchange
This opens the main claiming interface.
Filtering Claims
Before exporting, you must define your claim set using filters.
Available Filters:
- Date Filters (Weekly & Fortnightly)
- Custom “Delivery Between”
- Funding Stream
- Sections
- Clients
- Forms
- Service Item Codes
- Categories
- Areas
Filtering ensures:
- Only correct claims are included
- Large datasets are manageable
- Multiple funding streams are separated
Viewing Claim Results
After applying filters and searching:
At the top, you’ll see:
- Number of claims
- Total estimated revenue
- Cancelled Items
- Travel items
Eligible claims will appear in the results list.
Claim Views –
Compact View –
Expanded View –
Expanded View Full claim detail –
- Service item
- Client or participant
- Delivery dates
- Area
- Quantity
- Rate
- Total amount
Additional Controls
Skip items not ready for export.
FlowLogic automatically:
- Calculates grouped or ratioed items
- Applies the correct averaged rates
- Aligns with NDIS pricing rules
Warnings
Soft Warnings –
- Can often be ignored
Hard Warnings –
- Must be resolved before export
If no claims appear, be sure to check:
-
Shifts are completed
-
Billing is added to shifts
-
Service items exist in funding allocations
-
Allocation dates are valid
Exporting Claims
To export:
- Click Export Accepted Claims
- Enter a Claim Reference
- Confirm export method
Export Methods
CSV Export (Manual)
Downloads a file
Upload to the NDIS or Aged Care portal manually
API Export (PRODA or PACE)
Automatically submits claims
No manual upload required
CSV Workflow
- Upload CSV to the portal
- Download remittance advice
- Upload remittance into FlowLogic
API Workflow
Claims update automatically in FlowLogic
Status reflects portal response
Reconciliation Process
To reconcile claims:
- Download Remittance Advice from portal
- Upload into Funding Exchange
- Review:
Accepted claims
Rejected claims
Adjusted amounts
End-to-End Workflow
Funding Exchange sits within the full process:
- Funding Allocation
- Roster shifts Billing
- Complete shifts
- Export claims (Funding Exchange)
- Reconcile remittance
- Export invoices
Summary
The Funding Exchange is a core financial tool in FlowLogic, allowing you to:
Export claims
Validate billing
Ensure compliance
Reconcile payments
By using filters, reviewing claims carefully, and following the export and reconciliation process, you can ensure:
Accurate claims
Reduced rejections
Smooth financial operations