Invoices
Use Invoices to create invoices to send to your clients. If you also use Vision Billing, Vision automatically creates an invoice file.
Invoice Lookup
Use the Invoice Lookup to search for and select the invoices you want to open in the Transaction Center. After you select the Invoice Lookup menu option, select by Project, by Phase, or by Task to search invoices.
You can further refine this criteria by using the Search By and Search Text fields on the lookup results form. The Invoice Lookup returns date, client, and amount information for the selected search criteria.
Invoices Notes
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Unless specified otherwise in Configuration, you can only post transaction files that are in balance.
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When you post this transaction, Vision credits the revenue account specified in the Invoice file, and debits the accounts receivable account specified in Invoice Mapping Accounts (in Configuration).
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To adjust an invoice that has already been posted, create and post the adjustment using Invoice Transaction Entry.
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If you use the Billing application, Vision creates invoices and invoice transaction files automatically. You can modify the amounts to post using the Billing application’s Accept command, or you can modify the invoice file using transaction entry.
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The Invoice Section field controls where the transaction displays in the Billings to date section of the invoice.
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You must specify a revenue account on invoices.
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A Retainer column displays on the Invoice Transaction List if the Enable Retainers check box is selected on the General tab in Accounting System Settings Configuration. The Retainer column contains a Y (Yes) if the Retainer check box on the Invoices form in Transaction Entry was selected. If the check box is not selected, the Retainer column contains an N (No).
Posting
During an invoice posting, Vision:
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Credits explicitly the billed revenue accounts that you entered on the Invoice forms for their respective amounts. (For sales tax and interest, you can also credit an asset, liability, or other revenue/expense account; for example, you post sales tax directly to a liability account.) This account is typically a 400-level account.
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Debits implicitly the Accounts Receivable account(s), typically 111.00, which is mapped to each of the revenue accounts in Invoice Mapping Accounts Configuration, for the total amount of all invoices.
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Posts the billed amounts to projects. The billed amounts posted to revenue accounts for projects display in the Office Earnings report and in the financial analysis section of the Project Progress report.
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Posts revenue to the Billed Revenue account(s) for projects for which you are recognizing revenue. When Revenue Generation is enabled, Vision also performs a reversal by crediting the Unbilled Services and debiting the Unbilled Revenue and Accounts Receivable accounts by the same revenue amount.
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Adds the invoices to the Accounts Receivable table so that they display on both the Aged Accounts Receivable report and the Accounts Receivable Ledger report.
For Intercompany Billing, if the Post as they are generated option is not selected and the Enable for all transaction types Configuration Option is selected, then you may also need to put the created Invoice transaction file through the manual approval process.
If this process creates one or more Invoice files, then these Intercompany Billing Accounting processes will be marked as Submitted.
Posting Log
Use a posting log to view information about a batch of transactions. Vision produces a posting log each time that you post a transaction file.
In addition to the posting log, Vision generates a General Ledger summary for invoices. This report lists the general ledger accounts that were affected by the posting. The report shows the total amounts debited and credited to each account.
If the Tax Auditing option in Configuration > Accounting is enabled, then tax-related data (tax code, tax basis, and tax amount) also displays in the Invoice Posting Log.
A Retainer column displays in the Invoice Posting Log if the Enable Retainers check box is selected on the General tab in Accounting System Settings Configuration. The Retainer column contains a Y (Yes) if the Retainer check box on the Invoices form in Transaction Entry was selected. If the check box is not selected, the Retainer column contains an N (No).
Multicompany
If your firm uses the Multicompany feature, you can modify or post only those transaction files owned by the active company.
If you are also using the Intercompany Billing feature, your company can generate intercompany invoices. On the Transaction Entry form, intercompany invoices are labeled as created by Intercompany Billing and the filenames follow the format: ICBill Invoice date company
When you open the intercompany invoice file, you can also see the identifiers for the link project, phase, and task, which represent the other side of the intercompany billing transaction.
If you use the Multicompany feature, a billing group belongs to the company that owns the billing group's main project. You can enter invoice transactions for all portions of a project that you have permission to bill. This includes:
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All projects owned by the active company (as long as they are not part of a billing group owned by a different company).
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Any projects from other companies that are part of a billing group owned by the active company.
Multicurrency
If you use the Multicurrency feature, the invoice currency is determined by the project's billing currency.
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After you open an invoice transaction file, you can work with it on the Transaction Entry form and related dialog boxes. - Screens
You create and work with invoice transaction files on the Transaction Entry form and related dialog boxes.