Checklist: Processing Invoices in Batch Billing

Before you use Batch Billing to create an invoice, you must perform certain steps to make the data available to be billed for your projects.

Batch Billing offers you many options for creating invoices. The following checklist describes the process to create invoices using Batch Billing. Print this page and complete and check off each item.

If you plan to use Batch Billing to create final bills, your role must have the proper access rights before you can begin. Ensure that your role is configured with the Allow Processing Final Bills in Batch Billing check box selected on the Accounting tab of Roles Security before you begin.

Step Description Location
1 Enter and post timesheets, labor adjustments, and any expenses. Transaction Center > Transaction Entry

Transaction Center > Transaction Posting

2 Review the Unbilled Detail and Aging report for the project. Reporting > Billing - Unbilled Detail and Aging Report
3 Run draft invoices for projects. Billing > Batch Billing
4 Update fee terms for your projects, if necessary. Update Fees toolbar option in Batch Billing or Interactive Billing
5 Update billing terms if necessary. Billing > Billing Terms
6 Transfer, hold, view, bill, write-off, modify, delete or insert transactions. Billing > Interactive Billing - Labor tab, Expenses tab, or Units tab
7 Process (and accept) batch final invoices. Billing > Batch Billing
8 Post the invoice file created. Transaction Center > Transaction Posting