Input Based Selling is used by jobs that are assigned to a Charge Type with a Billing Type of Input Based. New invoices can be created through Job Sales Invoices for these jobs.
This billing type collects all job transactions including Timesheets, AP Invoice Enquiry, Plant Issues, Adjustments, Disbursements, Daily Diary Stock Issues, and optionally Purchase Orders up to the Invoice Trans To Date field. This facilitates "Cost Plus" and "Do & Charge" style jobs. If your job includes the selling of Job Outputs as well, the Input and Output Based billing type is more appropriate.
For more information about pricing and sell rates, see Price Code & Input Billing Overview. |
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This section will be populated as a result of the Get Sales process, but you can make manual additions using + New Line outside of that process.
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This tab contains all unbilled transactions for this job to the Invoice Trans To Date setting, including previously deferred transactions but not previously written off. As this area contains quite a few columns, you may need to scroll horizontally or minimise the left side menu to see all fields.
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This tab includes a summary line for each Sales Code. The following acronyms are used:
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Once the claim has been populated, approve the claim (if necessary) and Print the Contract Claim Certificate and send it to the client. Once the client certifies the claim, Approve and send the Final Invoice to the client. If the client rejects part of the claim and there is no dispute, Unapprove (if necessary) and adjust the values in Get Sales to the approved amounts, then proceed to the Final Invoice.
Related Pages:
FAQs:
Process Flow: