SA> Billing
Generate Bills
Summary
The SA Billing process is used to calculate charges and generate bills on assessments.
Related Links
Click here for information on Assessment Status Maintenance.
Click here for information on Billing Cycle Maintenance.
Click here for information on committing the billing batch.
Step by Step
1 Create a new Billing batch.
- Select the Billing palette in SA> Billing. This will expand the Billing palette and display the steps in the Billing process.
- Select New from the Billing batch number drop-down menu to create a new batch. This will open the New Batch window.
- If there are open batches in the Billing process, you can create a new batch without affecting the open batches.
- Enter a Batch Month and Batch Year. These fields will default to the current fiscal period and fiscal year. These values are used for reference only, and are not necessary the fiscal month and year the transactions in the batch will be posted to. The fiscal period the transactions are posted to is determined by the journal Entry date entered when creating the GL Distribution List report.
- Type in a batch number and click the Save icon
or press ENTER to create a batch in the current batch month and year.- To automatically create a batch with the next available batch number (the highest batch number used in the present month plus one), click the Generate icon
.
- The batch number is used to identify a specific batch. Batch numbers are limited to three digits and must be unique with the batch month of the batch year.
- You can have more than one open batch in a process at a time.
- If there is an open batch, the batch with the lowest batch number and fiscal period will open. Select a batch from the drop-down menu at the top of the palette.
- You can delete batches by selecting a batch and pressing DELETE.
3 Edit the generated billing transactions.
- Open the Edit window (SA> Billing> Edit).
- The Billing tab of the Edit window is used to edit the assessments that will be included in the Billing batch.
- Each assessment included in the batch will display an Interest and a Principal billing transaction. If the Automatically apply available credit toggle was checked on the previous step, and an included assessment has available credit, payment transactions for Interest and Principal will also be displayed.
- Highlight an assessment transaction and click the Delete icon
or press DELETE to remove the selected assessment from the batch. All transactions associated with that assessment will be removed.
- The Errors tab of the Edit window displays any assessments that meet the initial filtering criteria but could not be included in the batch. Each error line item will provide information as to why the assessment was excluded. These warnings will not prevent the Billing batch from being completed, but are meant to call attention to potential items of interest.
4 Print the reports and commit the billing batch.
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