Assisted Ticketing

Voluntary Changes: Exchanging Tickets with Add Collect (ARC)

This example includes instructions for exchanging tickets without refundable balances using the Voluntary Change tab in Assisted Ticketing.

Note: Voluntary changes in Assisted Ticketing for Travelport+ ARC agencies are available Smartpoint 10.1 and later. For Smartpoint 10.0, ARC agencies will not get accurate results through Assisted Ticketing because all original paid taxes are removed. For Smartpoint 10.0 and earlier, ARC agencies should continue to complete voluntary changes using Travelport+ (1G) formats.

 

Important!

The Assisted Ticketing - Voluntary Change feature does not provide any guarantee against ADMs:

  • Agents are obligated to have all necessary approvals before proceeding with voluntary exchanges.

  • Agents should always check all stored fare (Filed Fare/ATFQ) elements before ticketing.

 

To exchange tickets with add collect:
  1. Change the PNR/Booking File by adding a new fare quote. To be eligible for a quote, the record must have:

  2. Segments with an HS or HK status.

  3. A stored fare (Filed Fare/ATFQ) for each passenger.

Note: In this example, the form of payment (FOP) is Cash (S). For other payment types, see Form of Payment in the Travelport+ Format Guide.

  1. End and retrieve (ER) the PNR/Booking File.

  2. Open the Smartpoint Assisted Ticketing window by either:

  3. Entering the format: #SATVOL.

  4. Clicking the Assisted Ticketing icon. Then, click the Voluntary Change tab.

  1. Click the Filed Fare arrow to select the stored fare.

  2. Click the ticket arrow to select the desired ticket number.

  3. Click LOAD TICKET DATA to display the comparison table. This table provides a side-by-side comparison of the ticket and the stored fare, while the third column displays the difference between the original fare and the new fare.

  1. Review the exchange details.

  2. Optional. Click the ticket link to display the ticket details.

  3. Optional. Click the stored fare (Filed Fare/ATFQ) link to view the details for the stored fare.

  4. Review the exchange details.

  5. If applicable. In the Airline Change Fee row, add a change fee for the new stored fare. In this example, an airline change fee is added as a tax with add collect.

  1. Optional. Enter any additional ticket modifiers for the voluntary exchange.

    Note: Any existing modifiers from the stored fare (Filed Fare/ATFQ) are automatically populated in the corresponding fields.

  2. Optional. In Additional Modifiers, click Expand All to enter more optional ticket modifiers. You can click Collapse All at any time to close the Additional Modifiers section.

  3. Optional. In Document Modifiers, select options for ticket and itinerary documents.

  4. After you enter all modifiers, select I have validated the fare rules and results, and I would like to continue with the exchange.

  5. Click EXCHANGE TICKET to display the Manual Fare confirmation message.

  6. Click OK to approve the fare update. If there are changes to the ticket modifiers, the record is updated, and a confirmation message is displayed.

  7. Click OK. The stored fare and any modifiers are now updated and saved.
    Important! If you do not want to continue, you must delete the stored fare and start again.

    The first Additional Payment screen displays to show the new fare details and ticket details. The ticket details are automatically populated, but can be changed.

  8. Click CONTINUE to display the second Additional Payment screen, which contains the paid taxes and US Passenger Facility Charges. The tax fields are automatically populated, but can be changed.

    Note: The Paid Taxes section is blank because paid taxes are not designated in ARC exchanged tickets.

  9. Click CONTINUE to display the third Additional Payment screen for form of payment. By default, the form of payment from the original ticket is displayed. However, this information must be changed if a different form of payment is used.

    When the Change Fee is paid as a tax, the change fee is included in the Total Add Collect amount.

  1. Click CONTINUE to display the third Additional Payment confirmation screen.

  1. Review the updates and select the next step:

  2. Click UPDATE EXCHANGE AND CLOSE to save the exchange details and exit Assisted Ticketing.

  3. Click CONTINUE TO NEXT EXCHANGE to save the exchange details. Assisted Ticketing remains open, and you can begin another exchange.

  4. Click CANCEL to close Assisted Ticketing without saving the exchange details. However, the stored fare (Filed Fare/ATFQ) updates are saved.

The PNR/Booking File and ticket details display the new ticket information and exchange status.