Dunning Offer Procedures

Dunning Offer Procedures

Beginning June 2025, a select number of customers with a contract in Pending Cancellation/Dunning will receive a series of "Touchpoints" (email or letter notifications) with an incentive offer.


Alert
To process payment updates and reinstatement for dunning customers who do NOT have a Dunning offer, click here.

Guidelines

If the customer is eligible for a Dunning Offer, you will see the following pop-up.



2. Check the Communication History Log for the latest Touch Point Log to see if they are receiving 1 or 2 months free.


Pending Cancellation/Dunning Status Only

  1. DO NOT take a payment; UPDATE the Billing Mechanism ONLY.
    1. Payment(s) and reinstatement will be done on the back end.
  2. Once the billing mechanism is updated, the Dunning Offer automatically updates under Incentives.




Notes
 Customers who have received Touchpoints 7-9 can also accept their Dunning Offer in MyAccount.

Cancelled Contract

If the contract is cancelled, select follow procedures to Update Payment plan/Billing Mechanism, THEN you will receive a pop-up prompting you to first, Reinstate the contract.

  1. Once the contract is Active, you will receive the Dunning Offer pop-up:


Offer Confirmation Script

QuoteI've updated your payment method, your discount has been applied, and your next payment date is [bill date]. Please check your email for confirmation. 

Idea
Document the account.



    • Related Articles

    • Pending Cancellation/Dunning

      Accounts often fall into pending cancellation or dunning status for 45 days when a payment(s) are unsuccessful after multiple attempts, or after a customer is no longer eligible for mortgage/utility billing. To process the Dunning Offer for eligible ...
    • Billing

      TIMX SCM: Billing Overview Billing Users can view billing details such as the billing schedule, applied payments, and more on the Billing screen. To view the Billing screen, follow these steps: 1. From the Menu Options screen, select Billing. 2. The ...
    • Sears - Billing and Payment Procedures

      Sears - Billing and Payment Procedures Billing Terms Term Definition Actual Release Date The actual date invoice is printed or file is sent to Credit Card processor (Paymentech) bank or client for processing Base Premium Portion of bill amount that ...
    • Third Party - Billing and Payment Procedures

      Third Party - Billing and Payment Procedures Billing Terms Term Definition Actual Release Date The actual date invoice is printed or file is sent to Credit Card processor (Paymentech) bank or client for processing Base Premium Portion of bill amount ...
    • Gap Payment Process

      Gap Payments are calculated when there is a cancellation, pending cancellation, reinstatement, or renewal. The payment is used to collect funds when payments are missed due to: Refinance Home Paid Off Service Transfer/Client Change Billing Mechanism ...