Configure how you collect premiums and manage payments. From billing models to ACH settlement.
Three billing models to match how your carrier charges.
The platform supports three billing models, configurable per carrier:
Set up your billing model and fee structure.
Navigate to Settings → Billing in the admin configuration (managed by Audit1 staff). The billing configuration includes:
These settings live in the Carrier Billing Capabilities configuration and apply to all policies under your carrier unless overridden.
How premiums move from employer to carrier.
The premium collection pipeline:
The entire flow is automated. Premiums are calculated to the penny using the policy's net rates and the employee's auditable wages after all WC exclusions and caps.
Track and manage invoices from your carrier dashboard.
Invoices are generated automatically based on your billing configuration. From your Wallet page, you can view:
Each invoice links back to the source payroll file and includes a breakdown by class code and state.
How funds are transferred and when to expect settlement.
ACH transactions follow standard banking timelines:
Failed debits (insufficient funds, invalid account) are retried automatically. After 3 failures, the invoice is marked as "Failed" and the employer is notified.