Summary
Follow this process to generate an AR recurring invoices batch for fees that are billed on a recurring basis. Recurring invoices must be attached to an AR account before a recurring invoices batch can be generated.
Step by Step
1 Open or create an Invoices batch.
- Open the Invoices Batches window (AP> Invoices). The Batches window will display all the open Invoices batches.
- Select a batch and click DETAILS to open the selected batch.
- Select a batch and click the Delete button to delete the selected batch. Any uncommitted invoices in the batch will be deleted.
- Click the Create New Batch button to create a new batch. This will open the Create Batch window.
- If there are open batches in the Invoices process, you can create a new batch without affecting the open batches.
- The Batch Month and Batch Year fields default to the current date and are used for reference only and do not affect the transaction or journal entry date of the transactions in the batch. The fiscal period of the transactions in the batch is determined by the Journal Entry Date entered during the Generate step.
- Click CREATE to create the new Invoices batch.
2 Open the Batch Overview page.
- The Batch Overview page provides a general overview of the selected batch.
- The left navigation menu displays all the steps in the Invoices process.
- In the main section you'll see information about batch steps that are currently processing, next available batch steps, and the last completed batch step.
- Batch steps that are currently processing will display a blue indicator bar to alert you that the step has not yet completed.
- Once the preceding batch step is complete, the next available batch steps will be enabled and you can select the next step you would like to run.
- While some batch steps are optional, any batch step that includes the Required tag must be completed before the batch is allowed to proceed through to the Commit step.
- The Batch Outputs section on the right will display any reports or exports that have already been generated in the Invoices process.
3 Generate the recurring invoices.
- Open the Recurring Invoices window (AR> Invoices> Recurring).
- The Recurring Invoices window is used to generate the recurring invoices that will be included in the batch.
- When generating a recurring invoices batch, you will select the desired recurring invoice groups and the system will create invoices for the accounts set up with recurring invoices in the selected groups. You will not need to specify the billing cycles and fees, as these details were set up when the recurring invoice was initially attached to the AR account.
- Select the Recurring Invoices Groups you would like to include in these invoices.
- Recurring group codes are created and maintained in the Recurring Group Maintenance window (AR> Maintenance> Recurring Groups).
- You can use the header toggle to select or deselect all the recurring groups.
- Enter a Transaction Date, Due Month, and Due Year.
- The Transaction Date and Due Month/Year are used in calculating past due fees in the AR module.
- The Transaction Date and Due Month/Year are also used in calculating the age of a transaction on aging reports.
- The Due Month/Year must fall at least seven (7) days AFTER the Transaction Date.
- Enter an optional Description for the recurring invoice.
- Check the Auto Apply Available Credits toggle if you would like the system to automatically apply any credit associated with the account towards generated invoices.
- Click the Submit button to generate the recurring invoices.
4 Edit or enter invoices.
- Open the Edit Invoices window (AR> Invoices> Invoices).
- If you used the Generate step to automatically generate invoices they will display in the Edit Invoices data grid. If you haven’t generated any invoices the window will be empty.
- Click CREATE INVOICE to add an invoice. This will open the New Invoice window.
5 Enter additional invoices.
- Use the Tab Order button to customize the order in which the fields are displayed on the screen.
- Enter an Account Number to include in the invoices batch. Click on the search button to select an account from a list. Once an account number is selected the remaining account information will self-populate.
- The Transaction Date will automatically default to today’s date. You can overwrite it. Past dues can be calculated using the Transaction Date or the Due Date. The system will require a Due Date to be entered for the invoice, even if you are not going to process past dues.
- Reference Number is an optional field for tracking originating documentation.
- Information in the Description field will print above the detail of the invoice.
6 Enter an invoice line item.
- Click CREATE LINE to add a line item to the invoice.
- By default, creating a new line will open the Fee Selection screen where you will select a fee to attach to the new invoice line.
- If the system is set up to skip automatic fee code selection, you will remain on the New Invoices screen and the Line Details section to the right will be enabled. This setting is enabled on the My Profile screen.
- This section can also be updated using the Tab Order button to customize the order in which the fields are displayed on the screen.
- If you have not already selected a fee, type in the Fee code, or click the field search button to select an active Fee code. The remaining Fee code information will self-populate but the Description, Amount, Discount, and account information can be edited. The Number of Units field will also be enabled if the selected fee has an attached Unit Type.
- If you selected a unit type fee code but the Units field is still not enabled, a unit type was not entered when the fee was created in the Fee Maintenance window (AR> Maintenance> Fees> Fee Units field).
- Click the Save button to save the line details and return to Invoices step.
- Click the Save and New button to save the invoice and line details and reset the New Invoice screen so another invoice can be entered.
7 Commit the invoices batch.