| Admin Setup | Pharmacy Settings

Retail Settings

The Retail Settings page contains dispensing fee settings, entity setups, and parent-child relationships.

Dispensing Fee Schedule

The Dispensing Fee Schedule displays all the dispensing fees configured for your retail site. You may have multiple fees and types, each with different rules.

To view the Dispensing Fee Schedule:

1. Hover over ADMIN SETUP and select Pharmacy Settings.

2. In the left pane under FILTER OPTIONS, under Retail Specific, click Dispensing Fee Schedule.
In the right pane, the dispensing fee schedule appears.

3. For descriptions of the information on the Dispensing Fee Schedule page, see the table below.


Field

Description

Fee Description

You can have multiple dispensing fees based on the fee type and fee. For each fee, select a type and complete the rest of the fields on the screen. In the Fee Description field, enter a description.

Fee Type

An assigned value for this fee type. This may be Generic or Brand or packaged.

Notes

Any additional information you want to enter about this fee type and schedule.

Effective

Date the schedule for this fee type is effective.

Terminated

Date the schedule for this fee type ends.

Added

System-generated date of when the fee schedule was added.

Added By

System-generated with the name of the person who added the fee schedule.


Adding a New Dispensing Fee Schedule

You can set up multiple rules for different PIDs.

To add a new dispensing fee schedule,

1. In the menu bar, click Add New.
The ADD NEW Dispense Fee Schedule window opens.


2. Complete the fields on the screen using the information in the table below, and click Save Fee Schedule. 


Field

Description

Fee Description

Enter a description for this fee, such as Drug Type: Generic or Drug Type: Brand.

Active

Select one of the following:

Yes - this fee is active in 340B Architect.

No - this fee is not active in 340B Architect

Effective

The date this dispensing fee is effective. Click the calendar icon and select a date. The default date is today's date.

Terminated

The date this dispensing fee is no longer effective. Click the calendar icon and select a date or leave this field blank if you do not know when the termination date will be effective.

Fixed Fee

The dispensing fee that will be charged.

Enter a dollar and cents amount.

Variable %

Percentage of the element that will be taken into consideration. Elements are Days Supply, Revenue, Revenue-Drug Cost.

Variable By

Elements that are used to create the type of fee, such as revenue. You can pick different values to apply to each dispensing fee.

Click the drop-down arrow and select one of the following:

N/A - not applicable.

Days Supply -

Revenue -

Revenue - Drug Cost -

Min Cap

The minimum after applying percentages.
 

Max Cap

The maximum after applying percentages.

FEE TYPE

NOTE: Depending on the type you select here, the boxes below change. These all determine what is tested.

Click the drop-down arrow and select one of the following:

Default -

NDC -

Payor Code -

Payor BIN/PCN/GRP -

Med Express

Drug Type

Click the drop-down arrow and select one of the following:

N/A - Not applicable

Brand - Brand name drug

Generic - Generic drug

Special - special drug

Element

N/A - Not applicable

Days Supply -

Revenue - the actual price minus any discount.

Packages - number of packages of the script

Range Min

This is the range you set for the pharmacy. Any patient who brings in a script, the script will have these rules applied to it including the minimum and maximum the payor must pay. The range is set up for each fee type (such as NDC or Payor).

Range Max

See Min.


Multiple Covered Entity Setup

Contract pharmacies can be contracted with more than one covered entity. Multiple covered entity setup enables you to set order ranking.

To view the Multiple Covered Entity Setup page:

1. Hover over ADMIN SETUP and select Pharmacy Settings.

2. In the left pane under FILTER OPTIONS, under Retail Specific, click Multiple Covered Entity Setup.
In the right pane, the any multiple covered entity setups appear.



To add a new multiple covered entity:

1. In the menu bar, click Add New.
The ADD. NEW Multiple Covered Entities window opens.


2. Complete the fields in the window using the information in the table below, and click Save Changes. 


Field

Description

New Pharmacy

Click and select from the list of available PIDs associated with the hospital.

New Covered Entity

Click the drop-down arrow and select the covered entity.

Pharmacy 340B ID

 

Enter the pharmacy's 340B ID number.

Pharmacy 340B Acct

Enter the pharmacy's 340B account number.

Order Ranking

Click the up arrow until you reach the number of the ranking you want to associate with this pharmacy.

Active

Click the drop-down and select one of the following:

Yes -

No -

Effective

Click the calendar icon and select the date on which this pharmacy/entity relationship is to become effective. The default date is today's date.

Terminated

The date on which this pharmacy/entity relationship will terminate. Leave this field blank if you do not know the termination date.