Skip to main content
All CollectionsmyHSA FAQ
myHSA Plan Administrator Reports Guide
myHSA Plan Administrator Reports Guide

A guide to all reports for Plan Administrators!

Danielle Constantine avatar
Written by Danielle Constantine
Updated over a week ago

Reports serve as a vital tool, providing essential insights for plan administrators. They aid in comprehending plan utilization, billing details, forecast projections, and even facilitate year-end tax obligations. These reports offer a broader scope for making informed changes to the plan, ensuring effective coverage. Plan Admins can access their necessary reports in their "Reports" tab on the left hand side of their myHSA portal.

Types of Reports:

*Helpful Hint - use ctrl + f to quickly jump to any report you are looking for!*


Add-on Utilization Report

  • Parameters: Company-specific; Time frame selectable by plan year (select from the dropdown)

Function: Evaluates add-on performance and utilization, offering insights into their effectiveness.


Bank Reconciliation Report

  • Parameters: Open start/end date, based on bank file date.

  • Audience: Plan Administrators (PAs), and PA Accounting Teams.

  • Contents: Detailed reconciliation of claims charged to the corporate account, including employee name, claim type, amount paid, fees/taxes, and billing codes/EE IDs when applicable.

    Function: Useful for any reconciliation of transactions, especially useful for year-end tax purposes.


Detailed Claim Report

  • Parameters: Similar to Bank Rec Report but sorted by Employee Name.Audience: Advisors Plan Administrators

    Function: Provides the same data as Bank Reconciliation Report but sorted by employee names instead of bank file dates.


Bank Transaction Report (Withdrawal Report)

  • Parameters: Single bank file date selection.

  • Audience: PAs, PA Accounting Teams.

  • Contents: Provides a PDF matching the email sent for corporate withdrawals.

    Function: Used to obtain a copy of the withdrawal report (sent to PA's on bank file dates)


Allocation Report

  • Parameters: Start and end date selection.

    Function: Shows the amounts allocated by each employee to various categories on their myFlex plan, including auto-allocated amounts.


Claims Reports (myHSA, myWSA, myFlexplan, myASO)

  • Parameters: Start/End Date selection, based on Bank File Date.

  • Content: Lists claims for specific categories without revealing employee names, maintaining medical privacy.


Taxable Claims Report

  • Parameters: Optional start/end date.

    Function: Summarizes taxable claims for tax recording purposes by advisors and PA accountants. *inclusive of Quebec HSA claims.


Utilization Report

  • Parameters: Benefit Year selection (based on service date - not suitable for taxation purposes)

  • Contents: Pie chart illustrating major and sub-category utilization during the benefit year. Can display utilization by category or by plan/employee with detailed breakdowns.

    Function: The utilization report shows which categories are being used more than others, helping Plan Administrators to make sure the plan is meeting their employee needs.


Employee Balance Report

  • Audience: Advisors and PAs.

  • Contents: Real-time employee balance details, including current, carryover, and reserve balances, EE number, and billing codes if applicable.

    Function: Great for checking an employee balance on a specific date. This can be used for auditing purposes, reinstating previous employees, or getting an overview of employee balances at any time throughout the year.


Each report serves a specific purpose, facilitating better financial management, tax compliance, and comprehensive oversight for advisors, plan administrators, and accounting teams.*HSA claims are taxable in Quebec, if you have questions regarding this, or anything about the reports, please reach out to your advisor or support@getmyhsa.com

Did this answer your question?