THE BILLING PROCESS. Wendy Newlon EMS Software. October 27th 2015



Similar documents
INTRO120: Billing and Accounts Receivable Overview. Web Based Training

Event Management System (EMS) Virtual EMS

Accounts Receivable Reference Guide

Changing from Cash to Accrual Accounting

agrē multicurrency is intended for use by retailers that conduct a large volume of business transactions in a foreign currency on a regular basis.

Rounding. Last updated: Friday, May 09, Health Communication Network Limited Level 4, 201 Pacific Highway, St Leonards, NSW

5 REASONS TO INTEGRATE WITH OUTLOOK & EXCHANGE

1. MENU ICONS PORTFOLIO ALFRED (DASHBOARD) REPORTING DOMAIN EXCHANGE WATCHLIST * SETTINGS LIVE TRADING FLOOR * Protrada Quick Start Guide

Navision Depot Mini-Manual

ACCOUNT RECEIVABLES TABLE OF CONTENTS

Karmak Business System Velocity Release

TheFinancialEdge. Records Guide for Accounts Receivable

As on other History Notes tabs, toolbar buttons are available to add and delete notes.

Navision Depot Mini-Manual

for Sage 100 ERP Bank Reconciliation Overview Document

NetSuite SuiteFoundation Study Guide: July 2016

Creating a Journal in UCF Financials

Sage 300 ERP Payment Processing User's Guide

JOURNAL ENTRIES IN CBS ACCOUNTS RECEIVABLE

Agenda. Copyright Acuity Business Solutions, LLC All Rights Reserved

Fusion Financials White Paper Manage Payments Business Process Prepare and Record Payments

Dynamics GP 50 Tips in 50 Minutes

Accounts Receivable in Microsoft Dynamics SL 2011

Knowledge Base. Table of Contents. Customers How Do I?

Blackbaud FundWare Accounts Receivable Guide VOLUME 1 SETTING UP ACCOUNTS RECEIVABLE

BEFORE YOU BEGIN You will need to know what you would like to order, the vendor, and the General Ledger (G/L) account to charge to.

Oracle ERP Cloud Period Close Procedures O R A C L E W H I T E P A P E R J U N E

Microsoft Dynamics GP. Project Accounting Billing Guide

ORDERING ONLINE WITH YOURAVON.COM

Sales Person Commission

Handling customer returns in Microsoft Dynamics AX 2009

Job Streaming User Guide

OneSource Cafeteria Manager Daily POS Guide

Setup of Electronic Payment File Setup

Events - 4-H Online HelpSheet

General Ledger Auditing. Presented By: Jim Lee

6 Managing Bank Accounts

Microsoft Dynamics GP. Invoicing

Greater Giving 2014 Cashiering Entering Payments Banking the Event During

Technical Note: Reconciling the AP Past-Due Aging Report and Accounts Payable GL Account Balance

Prospect module. Quick reference guide. Opmetrix app version 4.10 onwards

MyCSI Global User Guide. MyCSI Global User Guide

TheFinancialEdge. Configuration Guide for Accounts Receivable

CLOUDPM CITY LEDGER USER GUIDE

MAIL MERGE TUTORIAL. (For Microsoft Word on PC)

STX Beacon User Guide Tickets

MODULE 7: RECEIVABLES MANAGEMENT: REMINDERS AND FINANCE CHARGE MEMOS

Nexsure Training Manual - Accounting. Chapter 6

talech Software Guide

Credit Card Overview & Processing Guide entrée Version 3

The Clio Way For Trust Account Management

User Guide View Invoices and Payments

IDEXX Cornerstone. Practice Management Software. Cornerstone Reports. Powered by SmartLink Technology

MARKET LINE COMPUTERS TOTAL RENTAL: PRE-TRAINING MANUAL

CLIENT BOOKKEEPING SOLUTION ACCOUNTS PAYABLE. Getting Started. version 2007.x.x

TheFinancialEdge. Records Guide for Accounts Payable

Microsoft Dynamics GP. Taking a Deeper Dive into SmartLists, Excel Report Builder, and Business Analyzer

Q: What discounts do I get when I purchase my account in $100 increments?

Mobile: Getting Started with Workday for ipad

Accounts Payable Reference Guide

Accounts Payable and Inventory Management

Mail Merge Creating Mailing Labels 3/23/2011

Guide to Credit Card Processing

Microsoft Dynamics GP. Payables Management

The End of Month Closing process cuts off all sub-journal postings for the month and should be performed at the conclusion of each month.

Sage Accpac ERP 5.6A. SageCRM 6.2 I Integration Update Notice

Ontario Woodlot Association

Upgrade from Sage Instant Accounts v15

Course Code AR/BI3. Accounts Receivable Advanced

AR Part 1: An Introduction to Accounts Receivable

Lesson Eight Using Accounts Payable (Suppliers)

Support Guide. Title: Jobs and Debtors Basics. Support Note: B Title: Jobs and Debtors Basics

Billing Matters Accounting Sunset

New Sage 50 Accounts Version differences helping you to...

AccuPOS to MAS90/200 Integration Guide

Client Manager User Guide. Version 1.2 Last update: 30 April 2015

Studio Designer 80 Guide

Sage 50 Accounts Construction Industry Scheme (CIS)

Accounts Payable User s Guide. Version AP76

Microsoft Dynamics GP. Purchase Order Enhancements

Enterprise Management System (EMS) Guide

MINIMIZING DISK SPACE USAGE IN SAAS OR VIRTUAL OFFICE CS

Creating a New Excel Survey

M O N T H E N D / Q U A R T E R L Y / Y E A R E N D C H E C K L I S T S & P R O C E D U R E S ACCOUNTS RECEIVABLE ACCOUNTS PAYABLE

emarketer system Benefits

Accounts Payable System Administration Manual

save time and do more with Online Postage

Microsoft Dynamics GP. Sales Order Processing

State of North Dakota. Module 5 Accounts Receivable PeopleSoft Financials 9.0

Sage Cloud Connector Getting Started Guide. January 2014

Accounts Receivable. Chapter

Epicor ERP Epicor ERP Accounts Receivable Transaction Hierarchy

Accounts Payable. Best Practices: Existing Control: Control Gap: Controls Evaluation and Gap Analysis. Purchasing

Getting more bang for your buck! 8 Quick Tips to boost elearning revenue

Bank OnLine Commercial Administrator User s Guide

WELCOME TO GEMPLERS.COM

Balance Inquiry (Food Stamp or Cash Account) Use this function to obtain a cardholder s Account balance. Touch EBT. Touch desired option.

Transcription:

THE BILLING PROCESS Wendy Newlon EMS Software October 27th 2015

Billing Process Steps Create an event with charges Post deposits or pre-payments Verify Charges using Billing Worksheet Preview Event Invoice Finalize Invoice Post Payment Reports 2

1. Create an Event with charges 3 The Event needs a resource(s), (services). Examples. ü Room Charge ü Catering ü AV ü Security ü Miscellaneous Charges ü Fees ü Whatever else you can think of to charge!

2. Post Deposits or Pre Payments 4

3. Preview Event Charges Use the Billing Worksheet Billing > Invoices >Billing Worksheet Identify corrections and modify room and resource pricing if needed 5

The Billing Worksheet.. to verify and check charges 6

4. Preview the Invoice Transaction Tab on Reservation OR Billing >Invoicing Use tabs to filter invoice criteria Select Invoice > Preview If charges are not correct, close the invoicing window and modify charges on the reservations as needed. If invoice is correct, go to next step 7

Previewing an Invoice from the Navigator 8

5. Finalizing an Invoice from the Navigator After previewing the Invoice, highlight invoice and choose Final. This creates an invoice number and LOCKS the services from being edited. This also moves any deposits from unapplied to applied status. 9

10

6. Applying a Payment to an Invoice 11

7. The Billing Reports Aging Report ülists all outstanding invoices and days outstanding Statements ülists the outstanding balances on invoices per Customer (Group) Transaction Report ülists all transactions for a given date range Voiced Transaction Report ülists voided transactions for a given date range 12 General Ledger Distribution üshows the breakdown of invoices into accounts

The Aging Report 13

Statements 14

Transaction Report 15

Voided Transaction Report 16

Voiding Transactions Why Void? ü ü Invoice must be voided in order to make changes to resources that have already been invoiced. A new invoice must be issued if invoice total is to change Tip: If issuing a credit because of complaint, another option is to add a resource with a (-) quantity and issue a new invoice Voids must be done in the following order: ü ü Payments that have been applied to an invoice Invoice for an event Voids are done from the Transaction Tab in Navigator or from Billing>Other>Void Invoices Voided Transaction Report tracks voids & void reasons 17

18

Invoice Detail Report 19

General Ledger Distribution 20

Tips ü Pre-payment and deposit behave the same way but applying pre-payment allows you to present a paid-in-full notice to customers before invoicing. You can re-label the confirmation to state INVOICE. ü Invoiced items are locked. New items, however, can be added. ü Refunds behave just like adjustments. Similar to prepayments, it s just a labeling variation for reporting purposes. 21

Keep in mind ü Performing each step locks the step behind it. To make changes, you must back out everything in the order you added it to make changes to a reservation, deposit, invoice, or payment. ü Refunds and adjustments are NOT reflected in the Sales reports 22

THE BILLING PROCESS Wendy Newlon EMS Software Don t forget! Complete the session feedback survey in the EMS Live! 2015 mobile app to increase your prize winning chances!