Ship and Debit Management Tool

Add Precision and Efficiency to Partners Claims Management Process

Computer Market Research’s automated Ship and Debit Management Tool eliminates the complex, expensive, and time-consuming process of managing high-volume partner incentive claims into a centralized solution that automatically adjusts pricing.

You will be able to determine net revenue with quantifiable metrics as well as seamlessly validate claims submitted by channel partners.

Request a Risk-Free Demo

Please enable JavaScript in your browser to complete this form.
Full Name

Ship and Debit Management Tool Features

BUILT-IN AUDIT TRAIL

Resolve payout disputes in real-time with complete retrieval of data to ensure integrity.

CUSTOM PROGRAM BUILDING

Automated Ship and Debit Management Tool supports complex program goals and parameters that are exclusive to your business (e.g. dates, product, partner eligibility, end-customer, qty. /price deals, stacked or tiered programs, etc.)

AUTO-CALCULATION

Compares cleansed POS data/SKUs against rules to determine qualifying price adjustments.

AUTO-VALIDATION

Instantly match calculated price adjustments against partner submitted claims for 100% verification of reimbursement.

FLEXIBLE DATA COLLECTION

Auto-import POS/inventory data directly from your ERP/CRM systems, or partner feeds from differing distributor formats or on-premise applications.

Ship and Debit Management Tool Benefits

ELIMINATE OVERPAYMENTS & REDUCE INCENTIVE PROGRAM COSTS

Unnecessary loss of funds due to miscalculated formulas on spreadsheets/human processing errors, inadequate resources and outdated solutions that lead to overpaid price adjustments.

IMPROVE REIMBURSEMENT TURNAROUND

Significantly cut payout approval time, which leads to higher partner satisfaction and continued program participation.

LOWER OVERHEAD COSTS

The automated calculation, verification and payout of claims reduce overhead costs associated with time-consuming manual-based processes (e.g., Excel spreadsheets, ad-hoc collection).

GAAP COMPLIANCE

A built-in audit trail ensures the proper reconciliation of financial statements.

CHANNEL VISIBILITY

Provides visibility into the performance of partners, programs, products, customers, territories, etc

Ship and Debit Management Tool for Managing and Automating Price Adjustment Programs:

  • Rebates
  • Special Pricing Authorizations (SPAs)
  • Registered Deals
  • Spiffs
  • Coop Funds
  • Market Development Funds (MDF)
  • Price Protection
  • Breakage Allowance
  • Any Miscellaneous Marketing Program