IP Library Granted Patent US 8,744,959
Granted Patent B2
US 8,744,959 · App. 12/191,112 · Granted Jun 3, 2014

Electronic bill payment with variable payment options

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Quick Facts
Patent No.
US 8,744,959
App. No.
12/191,112
Granted
Jun 3, 2014
Kind
B2
Abstract

A system for third party bill payment services used by a payer to pay a biller with whom a payer has an account includes a third party computer system for accessing biller data, the biller data for the payer comprising at least one account identifier, an amount due, and a nominal bill due date; a payment option generator for developing at least one payment option wherein the payment specified is responsive to a difference between a proposed payment date and the nominal bill due date; a payer interface for presenting the at least one payment option to the payer and for accepting a payer option selection and a payment funding confirmation; and a payment execution controller responsive to the payer option selection and funding confirmation, for initiating payment to a biller account on behalf of the payer.

Claims (45)

1. A system for third party bill payment services used by a payer to pay a biller with whom a payer has an account, comprising:

a third party computer system for accessing biller data from a plurality of billers, the biller data for the payer in relation to one of the plurality of billers comprising at least one account identifier, an amount due, and a nominal bill due date;

one or more payment option rules associated with each of the plurality of billers, the payment option rules defining variable payment options for the associated biller, at least one of the payment options including a calculation for defining a payment amount due based in part on a difference between a proposed payment date and the nominal bill due date;

a rules management portal permitting access to the payment option rules for changing or modifying parameters of the payment option rules, including parameters of the calculation for the payment amount due;

a payment option generator for accessing the one or more payment option rules associated with a biller and developing at least one payment option for the payer based on at least a subset of the one or more payment option rules associated with the billet wherein the at least one payment option comprises a payment amount due based in part on a difference between a proposed payment date and the nominal bill due date;

a payer interface for staging a money transfer to make payment to the billet, the payer interface configured for presenting the at least one payment option to the payer and for accepting a payment option selection and a payment funding confirmation for the payment amount due and payment date, wherein the third party computer system builds a staging record based on the payment option selection˜

wherein the variable payment options are available for the payer to pay early relative to the nominal bill due date and to pay later relative to the nominal bill due date; and

a payment execution controller responsive to the payment option selection and the payment funding confirmation for receiving the payment amount due, wherein the bill payment staging record is updated to a fulfilled payment record, the payment execution controller configured for applying fee and settlement rules established between the payer and a provider of third party bill payment services and initiating the money transfer to make payment to the biller's account on behalf of the payer.

2. the system of claim 1 , wherein the payment option generator determines the difference between the proposed payment date and the nominal bill due date and defines a payment that is more favorable for early payment than later payment.

3. The system of claim 1 , wherein the payment option generator determines the difference between the proposed payment date and the nominal bill due date and a discount is applied to an amount billed as due when the difference preceding the bill payment due date exceeds a predetermined value.

4. The system of claim 1 , wherein a biller is permitted to modify payment option rules accessed by the payment option generator using the rules management portal.

5. The system of claim 1 , wherein the payment option generator determines the difference between the proposed payment date and the nominal bill due date and wherein, when the proposed payment date is after the nominal bill due date, a payment option generated waives a late fee.

6. The system of claim 1 , wherein the payer interface is an agent terminal.

7. The system of claim 1 , wherein the payer interface is a computer connected to a global network.

8. The system of claim 1 , further configured for:

receiving from the payer at the third party computer system information including at least a biller identification, a proposed payment amount, the proposed payment date, and the nominal bill due date;

verifying at least a portion of the received information against payer account records;

calculating the difference between the proposed payment date and the nominal bill due date; and

presenting to the payer the at least one payment option, wherein the payment required is responsive to the calculated difference between the proposed payment date and the nominal bill due date and the payment option rules associated with the biller.

9. The system of claim 8 , further configured for receiving a selection of the at least one payment option from the payer.

10. The system of claim 9 , further configured for determining that proper payment is provided based on an agent confirming receipt of a payment from the payer to fund the selected payment option.

11. The system of claim 10 , further configured for crediting payment to the biller's account, the credited payment comprising an amount computed based on predetermined fee and settlement rules.

12. The system of claim 11 , further configured for notifying the biller of the payer's payment at a time substantially commensurate with the third party computer system receiving confirmation of the payment from the payer.

13. The system claim 11 , further configured for delivering payment to the biller at a time separate from receiving payment from the payer as determined by the predetermined fee and settlement rules.

14. A non-transitory computer readable medium encoded with computer program instructions for a third party computer system for performing third party bill payment services to pay a biller with whom a payer has an account, comprising:

an instruction module for accessing biller data from a plurality of billers, the biller data for the payer in relation to one of the plurality of billers comprising at least one account identifier, an amount due, and a nominal bill due date;

one or more payment option rules associated with each of the plurality of billers, the payment option rules defining variable payment options for the associated biller, at least one of the payment options including a calculation for defining a payment amount due based in part on a difference between a proposed payment date and the nominal bill due date;

an instruction module for a rules management portal permitting access to the payment option rules for changing or modifying parameters of the payment option rules, including parameters of the calculation for the payment amount due;

an instruction module for a payment option generator for accessing the one or more payment option rules associated with a billet and developing at least one payment option for the payer based on at least a subset of the one or more payment option rules associated with the billet wherein the at least one payment option comprises a payment amount due that is responsive to a difference between a proposed payment date and the nominal bill due date;

an instruction module for a payer interface for staging a money transfer to make payment to the billet, the payer interface presenting the at least one payment option to the payer and accepting a payment option selection and a payment funding confirmation for the payment amount due and payment date, wherein a staging record is built based on the payment option selection;

wherein the variable payment options are available for the payer to pay early relative to the nominal bill due date and to pay later relative to the nominal bill due date; and

an instruction module for a payment execution controller responsive to the payment option selection and funding confirmation for receiving the payment amount due, wherein the bill payment staging record is updated to a fulfilled payment record, the payment execution controller applying fee and settlement rules established between the payer and a provider of third party bill payment services and initiating the money transfer to make payment to the biller's account on behalf of the payer.

15. The non-transitory computer readable medium encoded with computer program instructions of claim 14 , wherein the instruction module for the payment option generator determines the difference between the proposed payment date and the nominal bill due date and defines a payer fee that is more favorable for early payment.

16. The non-transitory computer readable medium encoded with computer program instructions of claim 14 , wherein the instruction module for the payment option generator determines the difference between the proposed payment date and the nominal bill due date and a discount is applied to an amount billed as due when the difference preceding the bill payment due date exceeds a predetermined value.

17. The non-transitory computer readable medium encoded with computer program instructions of claim 14 , wherein the instruction module for the rules management portal permits a biller to access the payment option rules for changing or modifying parameters of the payment option rules.

18. The non-transitory computer readable medium encoded with computer program instructions of claim 14 , wherein the instruction module for the payment option generator determines the difference between the proposed payment date and the nominal bill due date and wherein, when the proposed payment date is after the nominal bill due date, a payment option generated waives a late fee.

19. The non-transitory computer readable medium encoded with computer program instructions of claim 14 , wherein the instruction module for the payer interface is located at an agent terminal.

20. The non-transitory computer readable medium encoded with computer program instructions of claim 14 , wherein the instruction module for the payer interface is located at a computer connected to a global network.

21. The non-transitory computer readable medium encoded with computer program instructions of claim 14 , the instructions further comprising:

accessing biller data accesses payer account data of the biller using the third party computer system, the payer account data comprising the at least one account identifier, the amount due and the nominal bill due date;

accessing a set of payment rules defined for the biller and accessible to the third party computer system; and

controlling the payment option generator for developing the at least one payment option, wherein the at least one payment option is responsive to the difference between the proposed payment date and the nominal bill due date.

22. The non-transitory computer readable medium encoded with computer program instructions of claim 21 , the instructions further comprising:

controlling the payer interface for presenting the at least one payment option to the payer and for accepting the payment option selection and the payment funding confirmation; and

controlling the payment execution controller responsive to the payment option selection and the payment funding confirmation, for initiating the money transfer payment to the biller' s account on behalf of the payer.

Assignments (11)
RELEASE OF SECURITY INTEREST Recorded Jun 5, 2023
From: BANK OF AMERICA, N.A.
To: MONEYGRAM INTERNATIONAL, INC.
Reel/Frame 063855/0722 →
SECURITY INTEREST Recorded Jun 5, 2023
From: MONEYGRAM INTERNATIONAL, INC.; MONEYGRAM PAYMENT SYSTEMS, INC.
To: COMPUTERSHARE TRUST COMPANY, NATIONAL ASSOCIATION
Reel/Frame 063858/0628 →
SECURITY INTEREST Recorded Jun 5, 2023
From: MONEYGRAM INTERNATIONAL, INC.; MONEYGRAM PAYMENT SYSTEMS, INC.
To: GOLDMAN SACHS BANK USA
Reel/Frame 063858/0646 →
RELEASE OF SECURITY INTEREST Recorded Jun 5, 2023
From: BANK OF AMERICA, N.A.
To: MONEYGRAM INTERNATIONAL, INC.
Reel/Frame 063859/0247 →
RELEASE OF SECURITY INTEREST Recorded Jul 21, 2021
From: BANK OF AMERICA, N.A.
To: MONEYGRAM INTERNATIONAL, INC.
Reel/Frame 056937/0067 →
RELEASE OF SECURITY INTEREST Recorded Jul 21, 2021
From: BANK OF AMERICA, N.A.
To: MONEYGRAM INTERNATIONAL, INC.
Reel/Frame 056940/0436 →
SECURITY INTEREST Recorded Jul 21, 2021
From: MONEYGRAM INTERNATIONAL, INC.
To: BANK OF AMERICA, N.A.
Reel/Frame 056940/0699 →
SECOND LIEN PATENT SECURITY AGREEMENT Recorded Jun 27, 2019
From: MONEYGRAM INTERNATIONAL, INC.
To: BANK OF AMERICA, N.A., AS COLLATERAL AGENT
Reel/Frame 049613/0321 →
SECURITY AGREEMENT Recorded Mar 28, 2013
From: MONEYGRAM INTERNATIONAL, INC.
To: BANK OF AMERICA, N.A. AS COLLATERAL AGENT
Reel/Frame 030111/0470 →
SECURITY AGREEMENT Recorded May 19, 2011
From: MONEYGRAM INTERNATIONAL, INC.
To: BANK OF AMERICA, N.A., AS COLLATERAL AGENT
Reel/Frame 026305/0526 →
ASSIGNMENT OF ASSIGNOR'S INTEREST Recorded Oct 27, 2008
From: SMITH, GORDON; WALLACE, TERRY; GORDON, EMIKO; CANETTO, MATT
To: MONEYGRAM INTERNATIONAL, INC.
Reel/Frame 021742/0204 →