- In this case, the claims would be created and assigned in Hubvia.
- The claim must be created in XactAnalysis(Brush Claims instance) through EDI.
- The Adjuster gets the assignment of the claim and will use Xactimate to enter the inspection data.
- Xactimate will generate estimates based on the data entered by the Adjuster.
- The Adjuster hits 'Connect' in Xactimate and pushes the estimates to XactAnalysis.
- The supervisor reviews the estimates and if no corrections are needed then the status would change to QA approved.
- The estimates would be pushed to Hubvia. This data would be kept in Hubvia storage.
- Hubvia will use the estimates to populate TGL and will change the status of the claim to 'Ready to Invoice'.
- The details of inspection, docs, attachments, images and all of the estimation data is stored in Hubvia's data storage as they set the base for any future references. (History Data).
- The role of Hubvia in this scenario would be to manage the claims and also take care of the invoicing and payment part done.