Billing decisions are made in the Billing Review screen. You can bill on-screen, drilling down to details and checking previewed reports in other windows. Or you can print a Billing Review report and record your decisions on it for later execution.
Those project billing records get displayed in the billing review grid that matches your criteria. For instance, a project manager can restrict the billing records to only those projects that he manages. Additionally, the date filters can restrict what time and expenses to include in billing review. Web Suite allows you to process multiple bills at once.
Billing Review displays a warning if it detects unapproved time or expense
entries for the time period that you are billing for.
The Billable Amount for time, Total Expenses, Discounts, Retainer (applied), Percent Complete, Project Notes, Contract Amount and other fields are commonly included in the customizable grid. The Net Bill Amount computes automatically from the work in progress for the project (that matches the date filter), or from a predefined billing record (recurring contract type or a billing schedule record).
Billing records are generated on the Billing Review grid if any of the following criteria are met:
A project has unbilled, approved time and expense entries (also called Work in Progress).
A project has a billing record defined in a Billing Schedule. The project has at least one unbilled, approved time entry charged to it or the Reminder Date is current.
A project has a recurring contract type and the project's last invoice is equal to or greater than the frequency set for billing. For example, for a monthly billing frequency, the last invoice is 30 or more days old.
You can change the net bill amount (generate a Write-Up/Write-Down), grant a discount, apply a retainer, exclude individual time and expenses (to be billed later), change WIP items to non-billable (show on detailed invoices but as No Charge), write-off a time or expense (not show it on detailed invoices), and value bill (change the value of individual time and expenses). As needed, you can change the invoice date. In short, you can fine-tune a bill before generating a draft invoice or a final invoice.
When you create an invoice, you can create one at a time or batch billing a few or hundreds of billing records at once. Processing and printing invoices require the proper security permissions.
In a multi-user scenario, when a user opens Billing Review
while it is open for another user too, Web Suite displays a warning that
some of the entries may be locked. The user can then only see those projects
that are not currently being billed by the other user to prevent multiple
billing of the same entries. Even if the rule Always
Show in Billing Review is checked for a project, the project is
still visible to one user at a time.
Key Fields
The fields at the top of the Billing Review screen set the criteria for the data being entered or reviewed. Depending on security permissions granted to users, they can edit, review, print, etc. the billing records.
View By:
The billing records can be viewed based on Client, Project, Project
Manager, Client Group, Project Group, Project Manager Group, Client Manager
or Contract Type. Whatever is selected in View
By field, governs what appears in the From and To filters. For
instance, a project manager can restrict the projects displayed to only
those he manages by selecting relevant options. You can select the item
from the list by clicking .
From-To:
The filters selected here determine which billing records will be brought forward for review and invoicing. Whatever is selected in View By field, governs what appears in the From and To filters. If the View By field shows Project Manager, the filter will show Project Manager From and To. You can review billing records for a range of project managers by placing the first project manager in the 'From' and the last in the 'To' field. To view data for one project manager, place the manager's name in both the From and To fields. The procedure is the same for View By Client, Project, etc. Lists are provided for you to choose from.
Filters:
Click this link to narrow the list of options (for example, Clients, Projects, etc.) available in the From/To drop-down lists. The Filters (On/Off) check box must be selected to apply the filter criteria.
Period:
Additionally, the date filters can be set so that the billing records of a particular time period are invoiced. These fields limit the billing records to the time and expense entries that fall within the date range specified. If you want to bill a month's time and expenses, select the first day of the month in the From field and the last in the To field. Select any date within the period you want to display. You can select the date from the drop-down lists, or use the -- (Previous Day), ++ (Next Day) links to increment or decrement the date by one day or Today to select the current date.
Billing Review Grid
Web Suite Billing Review grid is your guide to billing and invoicing. It is a series of rows and columns. Each row is a separate billing record for a project. The number of records displayed in the grid will depend on the selection made in the Rows list box.
Mark the check box against the record you want to select for processing. You can also process multiple bills in one go by marking the relevant check boxes.
Following are descriptions for each grid column:
Column Chooser :
Click to open the
Column Chooser to hide or show columns in the grid. Check the column names
you want to show in the grid. Whether or not fields are hidden,
values are recorded to them when data is entered.
Billing Details
:
Click
to view the billing
record information details.
J:
Joint invoice identifier. Enter the same letter or number to join projects for joint invoicing. Project phases and separate projects with the same client can be joined on a single invoice. This is where you specify the projects for which you want to create a Joint Invoice. Prior to processing invoices, indicate which projects you want to join. For example, enter the letter "a" in the J column next to three different projects of the same client. Next, mark each of these projects to be processed by checking the Bill column. Projects can be set by default to joint invoicing in Project screen. Joint invoices can be defaulted for all projects of a client by marking the Default to Joint Invoice option in Client screen.
Project ID:
The ID of the project whose billing record appears in the grid.
Hours:
The billable time (in hours) logged to the project. This is a sum of the B-Hours recorded to the project that fall within the date range specified and are billable, unbilled and approved.
Billable:
Sum of time entry bill amounts for the date range that are billable, unbilled and approved for invoicing. The amount includes taxes applied (Tax 1/2/3) when the entries were originally recorded. The Main Service Tax amount is not part of this value.
Expenses:
The billable expense logged to the project. This is a sum of the expense Charge Amount recorded to the project that falls within the date range specified and are billable, unbilled and approved. The amount includes the expense Tax 1, 2 and 3 amounts but not the Main Expense Tax. This field is a sum of the Exp Amt and Exp Tax Amt.
Discount:
Discount applied to the invoice prior to processing. The Net Bill amount is reduced by the discount amount. The discount reduces the final invoice amount after taxes have been added. The discount will not reduce the tax amounts of neither service nor expense.
Retainer:
Retainer applied to the invoice prior to processing. Retainer is the advance payment given by the client and can be applied to invoices of that client. The Net Bill amount is reduced by whatever amount is entered here. Retainer reduces the final invoice amount after taxes.
Net Bill:
This is the amount due of the invoice, to be billed to the client. It is automatically computed or can be manually entered above.
Bill:
Mark the check box against the billing record you want to select for processing.
%:
The project's percentage of completion. It is brought forward from the '% Complete' field in the Project screen. It is stored in the invoice record when processed and can be displayed on invoices. It is editable and decimal values can be entered as well. Calculation of the net bill for a selected project will be based on the revised percent complete value entered in this field. The Net Bill will get automatically filled based on the percentage of project completion. This will happen only when there is no Billing Schedule associated with the project nor is its contract type recurring. If a retainer is to be applied to the project (manually or automatically), it will be applied after the Net Bill has been revised according to the % Complete value of the project.
You can only enter a value in this field for projects with a specified
contract amount.
Invoice Date:
The invoice date is the date when the invoice is processed. By default, it is today's date and can be modified to any other date you want.
Class:
You can select a class here for a project billing record, to be used for the invoice created. If classes are assigned to projects, the related time and expense entries are also assigned the same class. You can assign a class created in Web Suite or transferred from QuickBooks (to BillQuick desktop).
You need to assign class to Web Suite items before creating invoices.
Accounts Receivable:
Select the desired A/R account from the drop-down for the project billing record. If you have already set an A/R account for this project in the Project screen, Web Suite retrieves it here, though you can change it. This is the account you want to use for posting the billing transactions related to a project in Web Suite.
View Time Details:
Opens the Time Entry Details screen. You can view and edit time data related to the selected records in the grid.
View Expense Details:
Opens the Expense Entry Details screen. You can view and edit expense data related to the selected records in the grid.
View Notes:
Click to view or add a note. It opens the Project Notes screen. You can type as much text as desired into the note area, insert date-time stamp or link files to it.
Write-Up/Write-Down:
Opens the Write-Up/Write-Down screen for the project selected in the Billing Review grid. You can write up (increase) or write down (decrease) the value of time entries according to your requirement.
Billing Review Button Panel
Help:
Opens the Web Suite Help in the Billing Review section.
Add:
Click this button to open a list of projects with or without current activity. This feature is used to include phases which don't have approved time and expenses. Select the ones to include on the invoice by selecting the boxes. Click Done for it to take effect. For example, for a project, phase 1 is complete, phase 2 is billed 40% and phase 3 is billed 20%. Even though phase 1 did not incur any new charges, you can include it on the invoice to show a complete job summary.
Print:
Opens the Billing Review Report. In View By: Project mode, the Project Billing Review report is generated while in View By: Client mode, the Client Billing Review report is generated. For other View By modes, a general Billing Review report is generated. You can preview, export or print the report from here.
Notes:
You can add or change a note by clicking on this field. It opens the Add Notes screen. You can type as much text as desired into the Notes area or enter Auto Complete shorthand codes to insert standard text.
Options:
Filters (On/Off):
Turns on/off all filters set in the filters screen. Check this option to apply filters to the drop-downs.
Clear All:
Clears all the filters applied on the screen.
Show Active Only:
Check this option to view only active clients and projects in the list.
Process:
The drop-down gives you following options:
Process Final: Click this when you are ready to process the billing records. After selecting the billing records in the grid, this generates the invoices. Projects are selected for invoicing by checking the Bill column. The invoices are not printed in this step. They can be printed from Invoice Review after they are processed here or using the Process and Print option here. In case of any write-up/down, calculations are performed accordingly during the processing of the invoice. After getting processed, the billing records are removed from the grid.
Process as Draft: Use this option to generate a draft invoice. Draft invoices are generated when a project's billing details are likely to change. After selecting the projects you want to process, click this to generate the draft invoices. Projects are selected for draft invoicing by checking the Bill column. The draft invoices are not printed in this step, but rather can be printed from Invoice Review after they are processed here. After getting processed, the billing records will be removed from the grid.
Draft invoice numbers will be stored in <####> format. For instance, if the last invoice number generated was 1234, then the draft invoice number will be stored and displayed as <1234>. The angular brackets will differentiate draft invoice number as temporarily used and if some other person is also generating normal invoices that person will get the next number 1235 and that way there will be no gaps in the normal invoicing. If you process a draft invoice and manually change its invoice number here, BillQuick assigns that custom number when finalizing it in the Invoice Review screen.
Refresh:
Clicked, the grid will be filled with billing records based on the selections made in the previous fields.
Close:
Closes the Billing Review screen and takes you to the home page
of Web Suite.