Invoice Corrections

This article describes how to correct invoices with issues such as incorrect billing, incorrect rates, or improper processing methods. See Invoice Troubleshooting - Adding PO# after Batch Close for additional troubleshooting information.

As of version 13.2, sales taxes are automatically updated with any corrections. If no other modifications have been made on the window but the rates changed in Admin Tools, the new rates can be applied by clicking Finish on the window.

Note: If using version 13.1 or earlier and the correction is due only to changes in sales tax rates (applied in Admin Tools), refer to the Recalculate Sales Tax section.
Note: There is a different process for PA Invoice Corrections. See Invoice Corrections for Invoices with PA Sales Tax.

Resources:

On This Page

Tutorial Video

Enable Invoice Corrections

To allow users to correct an invoice, the config option AllowUpdateBOInvoiceCorrection must be set to "True." See the Config Option - AllowUpdateBOInvoiceCorrection article for details.

Correct an Invoice

Note: There is a different process for PA Invoice Corrections. See Invoice Corrections for Invoices with PA Sales Tax.
  1. From the Main Menu, navigate to Back Office > Invoice.
  2. Search for the invoice that needs to be corrected.
  3. Choose Invoice Correction from the Actions menu, or the Invoice Correction shortcut if available. The Invoice Correction window appears.

    Invoice Correction window

    The top portion of the window displays a list of transactions associated with the invoice. For a selected transaction in the grid, the Week Worked and Branch can be modified.

  4. Choose a transaction from the list to display its information in the lower area of the window. The lower portion is documented in the Invoice Correction Tabs section below.
  5. Make the necessary corrections on the tabs at the bottom of the window, then click Finish (or Process Correction if using a version prior to 13.2).

    Note: To undo a correction, right-click over the value and choose Undo Modification. The New Billing Batch window appears.
    Undo Modification option
  6. Modify the Invoice Date if needed, and add an optional description.
  7. Click Finish. A message will appear confirming the correction is complete.

    Invoice correction confirmation
    Note: Although merging invoices is not required, this step is recommended so the corrected invoice shows the correctly adjusted invoice amount along with the adjusted sales tax.
  8. Click Yes to merge the invoices. The Invoice Merge wizard appears.
  9. The original invoice and the corrected invoice numbers are displayed. Click Next to continue. The Invoice Merge Transaction Item Selection tab appears.
  10. Review the items listed in the grid and click the checkbox associated with each item to include it in the invoice.
  11. Click Finish.
Note: Merged invoices will remain as individual invoices within the system; they are only combined here for easy location and printing.
  • If Invoice Preview was selected, the invoice is displayed in ReportViewer.

    Invoice in ReportViewer
  • If Invoice Preview is not selected, the Print window appears.
  • To print the invoice, click the Print icon in the menu bar.
  • To save a copy, click the Save icon in the menu bar. Close ReportViewer when finished.

Invoice Correction Tabs

The lower portion of the Invoice Correction window is sectioned by tabs featuring different data displays and additional functionality.

Weekly Units Tab

Use this tab to make changes to bill units or bill rates when entered on a weekly basis.

Weekly Units tab

The grid displays all transactions with weekly units defined.

Option Description
Show Zero Bill Place a check mark for the transaction item to display on the invoice as a $0.00 item.
Previously Adjusted If a transaction item within the invoice has previously been corrected, the box will contain a check mark.

Daily Units Tab

Use this tab to make changes to bill units or bill rates when entered on a daily basis.

Daily Units tab

The grid displays the days worked during the accounting period, with read-only values for pay and bill rates, hours, and extras. Use the Field Chooser to select the related information to display in the grid.

Trans Extra Tab

Use this tab to view and edit the values assigned to the transaction.

Trans Extra tab

Transaction Tab

Use this tab to update fields on the invoice, including the branch name, accounting period, shift name, invoice style, job position, PO number, or customer address. The address to which the invoice is being sent is also displayed in read-only mode.

Note: The ability to edit the fields on this tab is set by the site's administrator through the AllowUpdateBOInvoiceCorrection config option. Caution: Any updates made on this tab could potentially affect General Ledger and Workers' Compensation costs.
Transaction tab
Transaction tab fields

Invoice Tab

Use this tab to update fields on the invoice, including the branch name, accounting period, shift name, invoice style, job position, PO number, or customer address. The address to which the invoice is being sent is also displayed in read-only mode.

Note: The ability to edit the fields on this tab is set by the site's administrator through the AllowUpdateBOInvoiceCorrection config option. Caution: Any updates made on this tab could potentially affect General Ledger and Workers' Compensation costs.
Invoice tab

Note on invoices with AR Payments applied

When a user completes an invoice correction on an invoice that has an AR Payment applied, the corrected invoice will be attached to the root invoice AR Payment Bank ID.

When a Bank ID is attached to the AR Batch it is maintained throughout the process. This Bank ID is exposed in the user interface.

Invoice Correction AR Payment Bank ID

 

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