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Financial Control
As part of our Pegasus service package CASI can provide services for full financial control of your scheme. If you collect royalties from licenced certification bodies or directly bill members then we can provide customised billing and royalty systems. The financial control systems broadly fall into the following categories:
Explicitly Provided Payment Histories
If you licence third party inspection and certification bodies and charge a royalty based on their membership, then we can process a history of payments and renewals from the certification body and provide explicit reporting on their raw financial data. This will provide a independent record of the royalties for any membership payments that you are due.
Transactional Billing Reports
If you want to bill your certification bodies based on their certification information or operate your own scheme billing, then we can provide you financial control based on the transactional changes which have occurred within the CASI system.
Banded Billing Reports
If your scheme offers a tiered royalty or pricing structure based on business size or other membership criteria, we can provide billing and financial services that reflect your pricing structure.

Billing reports can be presented as live "on demand" reports in your glue interface and also scheduled to be emailed on an agreed day of the month. The emailed report will contain an attached copy of the report for archiving purposes to show you exactly how many royalties had been recorded in the CASI system each month.