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broker_commissions_process [2019/03/04 20:24] – created lisa.maloneybroker_commissions_process [2025/09/03 16:55] (current) tina.robles
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 **__Broker Commissions Process__** **__Broker Commissions Process__**
  
-Within GoSimplethe client has the ability to build and maintain their Broker Commission contracts.  Plus, on a timed basis such as monthly, the GoSimple system can produce backup per Broker Commission contract showing what is owed to the broker that month.  There are 5 steps to maintain this whole process:+The TELUS TPM platform provides comprehensive broker commission management capabilitiesenabling clients to establish, maintain, and execute broker compensation programs with full automation and audit trail functionality. The system facilitates end-to-end commission processing, from relationship configuration through payment documentation and distribution. 
 + 
 +**Strategic Business Value** 
 + 
 +__Automated Commission Processing:__ 
 + 
 +  * Efficiency Enhancement: Streamlined monthly commission calculations and reporting 
 +  * Accuracy Assurance: Systematic processing reduces manual errors and ensures consistent application of commission structures 
 +  * Audit Compliance: Complete documentation and backup generation for financial reconciliation and regulatory requirements 
 + 
 +__Relationship Management:__ 
 + 
 +  * Comprehensive Tracking: Complete visibility into broker-distributor relationships and associated commission structures 
 +  * Performance Analytics: Detailed reporting on commission payments and broker performance metrics 
 +________________________________________ 
 + 
 +__Five-Phase Process Framework__ 
 + 
 +**Phase 1: Broker-Distributor Relationship Administration** 
 + 
 +Objective: Establish and maintain foundational business relationships and commission eligibility parameters 
 + 
 +Key Activities: 
 +  * Relationship Configuration: Define and document broker-distributor partnerships and authorization structures 
 +  * Eligibility Management: Establish commission qualification criteria and performance requirements 
 +  * Hierarchy Maintenance: Configure organizational structures and reporting relationships 
 + 
 +**Phase 2: Contract Development and Configuration** 
 + 
 +Objective: Create comprehensive commission agreements with detailed terms, rates, and performance criteria 
 + 
 +Key Activities: 
 +  * Contract Creation: Develop broker commission agreements with specific terms and conditions 
 +  * Rate Structure Definition: Establish commission percentages, tiers, and calculation methodologies 
 +  * Performance Metrics: Configure key performance indicators and qualification thresholds 
 + 
 +**Phase 3: Sales Data Integration and Validation** 
 + 
 +Objective: Ensure accurate and timely data flow for commission calculation processes 
 + 
 +Key Activities: 
 +  * Data Transmission: Systematic upload and integration of sales performance data 
 +  * Validation Processes: Quality assurance and accuracy verification of sales information 
 +  * Data Reconciliation: Alignment of sales data with commission contract parameters 
 + 
 +**Phase 4: Monthly Commission Processing and Approval** 
 + 
 +Objective: Execute automated commission calculations and obtain necessary approvals for payment authorization 
 + 
 +Key Activities: 
 +  * Automated Calculation: System-generated commission computations based on sales performance and contract terms 
 +  * Review and Validation: Quality assurance review of calculated commission amounts 
 +  * Approval Workflow: Formal approval process for commission payment authorization 
 +  * Exception Management: Resolution of calculation discrepancies or unusual circumstances 
 + 
 +**Phase 5: Documentation and Payment Distribution** 
 + 
 +Objective: Generate comprehensive backup documentation and facilitate payment processing 
 + 
 +Key Activities: 
 +  * Backup Generation: Creation of detailed commission statements and supporting documentation 
 +  * Payment Processing: Coordination of check generation and distribution to brokers 
 +  * Record Maintenance: Comprehensive documentation for audit trails and financial reconciliation 
 +  * Stakeholder Communication: Distribution of commission statements and payment notifications 
 + 
 + 
 + 
 +----- 
 + 
 +**Step 1:  Build Broker/Distributor Relationships**   
 + 
 +There are three ways to build the broker/distributor relationship: 
 + 
 +__Configuration Methodologies__ 
 + 
 +**Method 1: Visibility Feed and Administrative Tool Configuration** 
 + 
 +Implementation Approach: 
 +  * Broker Identification: Define authorized broker entities within the system 
 +  * Distributor Assignment: Establish distributor portfolios under each broker's responsibility 
 +  * Administrative Control: Utilize system administrative tools for relationship configuration and maintenance 
 + 
 +Business Application: 
 +  * Centralized Management: Single-point configuration for comprehensive relationship oversight 
 +  * Organizational Structure: Clear definition of broker territories and distributor assignments 
 + 
 +**Method 2: Broker-Distributor Assignment Management** 
 + 
 +Implementation Approach: 
 +  * Ownership Tracking: Systematic documentation of broker-distributor ownership relationships 
 +  * Temporal Management: Comprehensive start and end date tracking for relationship lifecycle management 
 +  * Dual Configuration Options: 
 +  *   * Automated Data Feed: Systematic relationship management through integrated data feeds 
 +  *   * Manual Administration: Direct relationship management via administrative interface 
 + 
 +Business Application: 
 +  * Historical Tracking: Complete audit trail of relationship changes over time 
 +  * Flexible Management: Support for both automated and manual relationship administration 
 +  * Performance Analytics: Enhanced reporting capabilities through detailed relationship documentation 
 + 
 +Reference Documentation: Comprehensive guidance available in broker-distributor assignment documentation 
 + 
 +   See [[broker_distributor_assignment|]] for more information. 
 + 
 +**Method 3: Direct Sales Feed Integration (Recommended)** 
 + 
 +Implementation Approach: 
 +  * Transaction-Level Assignment: Broker identification specified directly within individual sales transaction records 
 +  * Real-Time Accuracy: Immediate relationship recognition at the point of sale 
 +  * Dynamic Configuration: Relationship determination based on actual sales activity 
 + 
 +Business Application: 
 +  * Precision Accuracy: Eliminates relationship mapping errors through direct transaction-level identification 
 +  * Operational Efficiency: Streamlined processing without requiring separate relationship maintenance 
 +  * Data Integrity: Enhanced accuracy through source-level relationship specification 
 + 
 +System Recommendation: This methodology represents the preferred approach for optimal accuracy and operational efficiency 
 + 
 +  
 +----- 
 + 
 +**Step 2:  Build a contract with a broker** 
 + 
 +Create a contract for a particular brokertimeframe, products/product groupings, and pricing options offered to the broker.  See the section [[setting_up_a_new_contract|]] for specific information on creating contracts.   
 + 
 + 
 +Determine if there are any backout/exception rules in place on the contract. 
 + 
 + 
 +----- 
 + 
 +**Step 3:  The client sends daily/weekly/monthly distributor sales file to TELUS.** 
 + 
 +----- 
 + 
 +**Step 4: Run monthly Commission Process & Approve** 
 + 
 +The commission processing system leverages established broker-distributor relationships and predefined payment schedules to generate comprehensive commission reports and facilitate accurate payment calculations for broker compensation programs. 
 +________________________________________ 
 + 
 +**Commission Calculation Methodology** 
 + 
 +__Data Integration and Processing__ 
 + 
 +Sales Data Aggregation: 
 +  * Scope: System retrieves all distributor sales transactions linked to designated broker contractees 
 +  * Filtering Criteria: Data extraction limited to products specified within active commission contracts and applicable timeframe parameters 
 +  * Relationship Validation: Processing utilizes established broker-distributor linkages to ensure accurate attribution 
 + 
 +Contract Alignment and Calculation: 
 +  * Payment Schedule Integration: Commission calculations execute according to predefined payment schedule configurations 
 +  * Contract Matching: Sales data systematically compared against contract terms, rates, and qualification criteria 
 +  * Commission Computation: Automated calculation of commission amounts based on sales performance and contractual obligations 
 + 
 +__Report Generation Framework__ 
 + 
 +Broker-Specific Reporting: 
 +  * Individual Broker Reports: System generates dedicated commission reports for each broker entity 
 +  * Comprehensive Sales Summary: Reports include complete sales activity for all associated distributors within the specified period 
 +  * Commission Analysis: Detailed breakdown of commission calculations, including applicable rates, volumes, and total amounts owed 
 + 
 +Performance Analytics: 
 +  * Monthly Sales Aggregation: Complete compilation of distributor sales performance under each broker's portfolio 
 +  * Contract Compliance Verification: Systematic validation of sales data against contract terms and conditions 
 +  * Commission Reconciliation: Detailed documentation supporting calculated commission amounts 
 +________________________________________ 
 + 
 +**Review and Approval Workflow** 
 + 
 +__Client Review Process__ 
 + 
 +Earnings Documentation: 
 +  * Comprehensive Reporting: Detailed earnings spreadsheet generated for client review and validation 
 +  * Supporting Documentation: Complete backup materials including sales data, calculation methodologies, and contract references 
 +  * Quality Assurance: Systematic review capabilities to ensure calculation accuracy and contract compliance 
 + 
 +Approval Framework: 
 +  * Client Authorization: Formal client review and approval process for commission payments 
 +  * Exception Management: Systematic handling of discrepancies or unusual circumstances requiring additional review 
 +  * Documentation Trail: Complete audit trail of approval decisions and supporting rationale 
 + 
 +**Business Value and Benefits** 
 + 
 +Operational Efficiency: 
 +  * Automated Processing: Streamlined commission calculation reduces manual effort and processing time 
 +  * Accuracy Enhancement: Systematic data processing minimizes calculation errors and ensures consistency 
 +  * Scalability: Automated framework supports growing broker networks and increasing transaction volumes 
 + 
 +Financial Accuracy: 
 +  * Contract Compliance: Systematic validation ensures commission calculations align with contractual obligations 
 +  * Audit Support: Comprehensive documentation supports financial audits and regulatory compliance requirements 
 +  * Reconciliation Facilitation: Detailed reporting enables efficient financial reconciliation processes 
 + 
 +Stakeholder Communication: 
 +  * Transparent Reporting: Clear, detailed commission statements for broker communication 
 +  * Client Oversight: Comprehensive review capabilities for client approval and validation 
 +  * Performance Visibility: Enhanced visibility into broker performance and commission trends 
 + 
 + 
 + 
 +----- 
 + 
 +**Step 5: Cut check and send backup to Broker** 
 + 
 +__Post-Approval Payment Execution__ 
 + 
 +**Claims Generation and Processing** 
 + 
 +Automated Claims Creation: 
 +  * Approval Trigger: Upon receipt of client authorization for commission payments, the system automatically generates corresponding claims records 
 +  * Payment Integration: Claims are systematically incorporated into the next scheduled payment file transmission to the manufacturer 
 +  * Documentation Inclusion: Comprehensive backup documentation accompanies all payment files to support payment authorization and processing 
 + 
 +**Payment File Transmission** 
 + 
 +Manufacturer Distribution: 
 +  * Systematic Processing: Payment files transmitted to manufacturer according to established payment schedules and protocols 
 +  * Supporting Documentation: Complete backup materials included to facilitate payment processing and validation 
 +  * Quality Assurance: Systematic verification of payment file accuracy and completeness prior to transmission 
 + 
 +__Client Payment Processing and Distribution__ 
 + 
 +**Payment Authorization and Execution** 
 + 
 +Client Payment Responsibilities: 
 +  * Payment Processing: Client processes approved payments based on transmitted payment files and supporting documentation 
 +  * Check Generation: Client executes payment distribution through appropriate payment mechanisms 
 +  * Quality Control: Client validation of payment amounts and recipient information prior to distribution 
 + 
 +**Broker Communication and Documentation** 
 + 
 +Backup Documentation Distribution: 
 +  * Individual Broker Packages: Client receives detailed backup documentation for each payment recipient 
 +  * Commission Statements: Comprehensive documentation supporting each broker's commission calculation and payment amount 
 +  * Distribution Facilitation: Documentation packages enable client to provide detailed commission statements to respective brokers 
 + 
 +__Process Benefits and Controls__ 
 +  
 +**Operational Efficiency** 
 + 
 +Streamlined Processing: 
 +  * Automated Workflow: Systematic progression from approval to payment file generation 
 +  * Integrated Documentation: Complete backup materials generated automatically with payment files 
 +  * Reduced Manual Effort: Automated processes minimize manual intervention and processing time 
 + 
 +**Financial Accuracy and Compliance** 
 + 
 +Payment Validation: 
 +  * Approval Verification: Systematic confirmation of client authorization prior to payment processing 
 +  * Documentation Integrity: Complete audit trail from commission calculation through payment distribution 
 +  * Reconciliation Support: Detailed backup documentation facilitates financial reconciliation and audit processes 
 + 
 +**Stakeholder Communication** 
 + 
 +Transparent Documentation: 
 +  * Comprehensive Reporting: Detailed commission statements and supporting documentation for all stakeholders 
 +  * Client Oversight: Complete visibility into payment processing and distribution activities 
 +  * Broker Communication: Detailed documentation enables effective communication of commission calculations and payments 
 + 
 +This comprehensive payment processing framework ensures accurate, efficient, and transparent broker compensation distribution while maintaining complete documentation and audit trail capabilities throughout the entire payment lifecycle. 
 + 
 + 
 +----- 
 + 
 +**Reporting** 
 + 
 +__Advanced Analytics Capabilities__ 
 + 
 +The Tableau Broker Commission Reports platform provides comprehensive analytical capabilities for examining commission data across multiple business dimensions with interactive dashboards and customizable reporting views. 
 + 
 +**Key Analysis Dimensions** 
 + 
 +Performance Analytics: 
 +  * Broker AnalysisIndividual and comparative broker performance metrics 
 +  * Distributor Reporting: Commission generation by distributor partnership 
 +  * Temporal Analysis: Monthly performance tracking and period-over-period comparisons 
 +  * Product Intelligence: Product-level commission analysis and portfolio optimization 
 +  * Financial Validation: Allowed amount tracking and payment reconciliation 
 + 
 +**Business Benefits** 
 + 
 +Strategic Decision Support: 
 +  * Data-driven insights for performance optimization 
 +  * Trend identification and market opportunity analysis 
 +  * Informed resource allocation and territory management 
 + 
 +Operational Excellence: 
 +  * Real-time performance monitoring and exception identification 
 +  * Quality assurance for commission calculations 
 +  * Transparent reporting for all stakeholders 
 + 
 +This analytics platform transforms commission data into actionable business intelligence, enabling informed decision-making and strategic planning across the broker commission program. 
 + 
 + 
 + 
 +{{:pasted:20190304-210240.png}} 
 +-----
  
-  - Administer the Broker to Distributor Relationship 
-  - Build Contracts 
-  - Send Sales Data 
-  - Run monthly Commission Process & Approve 
-  - Send backup and check to Broker 
  
broker_commissions_process.1551731077.txt.gz · Last modified: 2019/03/04 20:24 by lisa.maloney