Billing
Costpoint Billing automatically produces the types of standard billings most commonly required by project-oriented organizations, and gives you extensive flexibility to create your own cost-based, hours-based, unit-based, or generic billings.
In addition, you can create project product, customer product, manual, standard, and milestone/percent complete bills in any currency. You can print supporting schedules for labor or other costs for standard bills only. Costpoint also provides standard billing computations and formats for billings to the United States government. If you use the government's Invoicing, Receipt, Acceptance and Property Transfer (iRAPT) system, you can create an FTP file to upload your invoices to the iRAPT (standard bills and progress payment bills only).
You can also invoice using ACRN (Accounting Classification Reference Number) data at the billing level for projects that are calculated using the Calculate Standard Bills application (standard bills only). Manual and progress payment invoices are not included. Note that Costpoint's ACRN functionality is compatible with iRAPT functionality but only for standard invoices.
Costpoint Billing is completely integrated with Costpoint Projects, Accounts Receivable, Product Definition, and Sales Order Entry. In the Costpoint Projects folder, revenue can be recognized based on cost-based formulas, hours-based formulas, manual overrides, or on billed amounts, before or after retainage.
When you post bills, relevant information is automatically updated in the Costpoint General Ledger, Accounts Receivable, and Billing History tables. Product billings use the item table and price catalogs found in Costpoint Product Definition.
The new tables are: Project Hierarchy (PROJ_HIERARCHY), Source Project Mapping (PROJ_SRCE_PROJ), Invoice Level Mapping (PROJ_INVC_PROJ), and Revenue Level Mapping (PROJ_REV_PROJ).
Types of Bills
The types of bills are:
- Time and Materials (T&M) with or without non-labor expenses, burden, and other fees
- Product billings, which include items from price catalogs billed at catalog prices (non-project specific) or unit prices by Contract Line Item (CLIN)/project; these billings can be transaction-based — for example, using units transactions recorded via the Unit Usage feature — or based on an automatic billing quantity established on the Manage CLIN Information screen
- Multiplier Billings
- Scheduled Billings
- Cost Plus Fixed Fee (for example, Form 1035 billings)
- Cost Plus Fee on Hours
- Milestone/Percent Complete
- Progress Payments (Form 1443)
- EAC (Estimate at Completion) or ETC (Estimate to Complete)
Special Features
Costpoint Billing has the following special features:
- Offers user-definable billing formats and billing cycles.
- Computes cost bills on accrual basis or on cash basis for government contractors subject to the applicable Federal Acquisition Regulations (FAR) requirements.
- Uses either project-specific or company-wide "provisional" indirect billing rates.
- Allows security by billing user group and project.
- Provides for standard text clauses to be printed on bills.
- Allows a combination of loaded labor (T&M), cost line items, and items from price catalogs or project-specific CLINs on the same billing.
- Offers extensive supporting schedules for both labor and non-labor costs.
- Tracks bills by project and customer, or by customer alone if there is no association with a billable project.
- Edits bills online before printing.
- Offers a retroactive billing feature that allows you to "catch-up" for rate modifications retroactive to previously billed items.
- Offers a Reverse Previous Billings utility to reverse or void incorrect billings.
- Offers a Billing History Inquiry that provides access to previously billed amounts, whether based on costs incurred, loaded labor rates (T&M), or items from price catalogs or project-specific CLINs (product bills). All supporting billing detail is kept in billing history until you decide to purge it.
- Offers adjustments to Open Billing Detail that allow you to write off, transfer, hold, or release holds on amounts and/or hours on transactions before computing the bill.
- Offers five bill types (Project Product, Customer Product, Standard, Manual, and Milestone Bills) that can use a different currency for billing transactions. You enter bills in your company's functional currency; then, using the Exchange Rates subtask, you select a foreign currency. The bill is calculated and printed in that currency, while your billing and accounts receivable retain information on both currencies. Before running a foreign currency bill, you must initialize additional information in Costpoint Multicurrency such as currency codes and exchange rates.
- You can apply billing discounts by account, customer, or project.
- Related Topics:
- Billing Task Flow
The Billing Task Flow diagram describes the overall process involved in Billing. - Billing Formats
Use the screens in the Billing Formats application group to establish the formats for the supporting schedules printed on the bills as well formats used in transactions-based billings. - Billing Master
Use the screens in the Billing Master application group to manage project billing information, assign billing withholding codes, and specify account, customer volume, and project volume discounts. - Units Usage Processing
Use the screens in the Units Usage Processing application group to manage unit usage information, import units usage files, and print reports on units usage. - Standard Bill Adjustments
Use the screens in the Standard Bill Adjustments application group to manage open billing detail transactions and adjust open billing detail records. - Standard Bills Processing
Use the screens in the Standard Bills Processing application group to manage standard and retroactive bill information. - Progress Payment Bills Processing
Use the screens under the Progress Payment Bills Processing application group to manage, calculate, print and post progress payment bills. - Milestone Percent Complete Bills Processing
Use the screens in the Milestone Percent Complete Bills Processing application group to manage, print, and post milestone/percent complete bills. - Project Product Bills Processing
Use the screens in the Project Product Bills Processing application group to manage, print, and post project product bills. - Manual Bills Processing
Use the screens in the Manual Bills Processing application group to import, manage, and post manual bills. - Customer Product Bills Processing
Use the screens in the Customer Product Bills Processing application group to manage, print, and post customer product bills. - Unbilled Receivables
Use the screens in the Unbilled Receivables application group to set up unbilled reason codes, create unbilled report tables, and print the Unbilled Analysis Report and Unbilled Reason Code Report. - EDI Billing Processing
This application group has the Create EDI Files screen that you can use to create export files for electronic data interchange (EDI) transmissions. - Billing History
Use the screens in the Billing History application group to review and manage billing history. - Billing Reports/Inquiries
Use the screens in the Billing Reports/Inquiries to view and print information related to billing. - Open Billing Detail Utilities
Use the screens in the Open Billing Detail Utilities application group to update or purge open billing detail records. - Billing Controls
Use the screens in the Billing Controls application group to set up the overall settings used in Billing. - Administrative Utilities
Use the screens in the Administrative Utilities application group to update billing currency amounts and billing tables, and validate open billing detail account function codes. - Billing Related Topics
Use this section to view special topics related to billing.