Why HICAPS Payments Don't Match Up Cleanly
A HICAPS settlement doesn't arrive as one payment per patient — it lands as a single batched deposit covering every health fund claim processed that day, sometimes across dozens of patients. Without a deliberate system to break that batch back down, it's difficult to know which payment belongs to which treatment, and reconciliation turns into guesswork.
Set Up a Dedicated HICAPS Clearing Account
The fix is a clearing account in Xero specifically for HICAPS. Daily batch settlements are coded here first, then matched line-by-line against the individual patient receipts recorded in your practice management software. Done correctly, the clearing account nets back to zero once everything's matched — any balance left over is exactly what still needs investigating.
GST Treatment Isn't Always Uniform
Most dental services are GST-free as health services, but cosmetic and some elective procedures are taxable. A practice offering a mix needs clear coding rules at the point of entry, otherwise HICAPS receipts get treated as uniformly GST-free and your BAS understates GST owed.
What Good Reconciliation Looks Like Monthly
Every HICAPS batch matched to a patient receipt. Clearing account balance at zero or explainable. GST correctly split between exempt and taxable services. This isn't complicated once it's set up — it's just rarely set up correctly from the start.
If It's Already a Mess
This is one of the most common clean-up jobs we do for Melbourne dental practices — going back through months of batched settlements, matching them against patient records, and building a system so it stays accurate going forward.
True Tally — bookkeeping for Melbourne dental practices
We set up and maintain HICAPS reconciliation, GST coding and payroll for dental practices across Melbourne. Book a free call to review your current setup.
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