Retiree Enrollment
platform

Introducing Smart Processor & Autonomous Account Statement Reconciliation Platform

Smart Process makes the Account Statement Reconcilition Process easy and performance fast

Increased speed; guided selling

Validates

broker commissions and
overall account statement

Forecast revenue; calculate P&L

Commissions

broker name, group name,
carrier/health plans and
dollar variances

Predictive analytics; empower sales reps

Reconciliates

broker commissions for
additional cost validation

Online quote approval; shortens sales cycle

Parses

Broker account
statements

providing

Providing

accurate and immediate
validations of broker
commissions

providing

Performing

reconciliation to
prevent additional
cost deltas

providing

Providing

actual commission
dollar variances

providing

Validating

overall account
statements

No Additional Costs.
No Additional Work.

The Smart Processor will do it all for you!

Choose the technology your company needs to grow beyond limits and put yourself on the top of the graph!

Here’s All You Get Just From 1 Platform

Our duty towards you is to provide the most work efficient and top-notch user experience trugh our extensive automated features

User Portal:

Business users will get an interactive user interface in Bentech’s platform (SaaS) Software-as-a-Service with user authentication, user roles and profile options.

Platform Accessibility:

Ability to upload account statements into the account reconciliation platform from local machines and also to extract from secure FTPs.

Pull & Push:

Ability to automate pull and push of files using windows services.

Error Detection:

When BENTECH identifies an error with the fees or commissions, it will create a real-time notification and visualization that will be available through an intuitive user portal and dashboard.

Guess What! Not Just All That....
There's So Much More!

additional

Additional Deliverables:

BENTECH can also generate a dispute statement or even a new Carrier invoice with the identified cost differences, by group number, group name and period date.

tracking

Tracking:

The user can send and track these dispute statements/invoices through the user portal.

paid

Automatic Error free Updating:

As these new invoices/ disputers are paid, the system will automatically update the carrier payments and perform the reconciliation to ensure there are no additional cost deltas.

mobile

Financial Validation:

BENTECH also provides an end-to-end autonomous reconciliation service to validate that proper fees and commissions are received.

financial

P & L:

It enables the client to accurately generate their profit and loss statement.

pandL

Timely Payments:

It also ensures they are being properly paid by the carriers for their services.

time