What changes in auto repair shops operations
Auto repair groups coordinate inspections, maintenance plans, repair orders, and parts-related work across shops. A central team needs shop-level reporting that separates recurring program units from one-time jobs. Store the shop assignment, cycle quantity, price source, and supporting follow-up in one place so an unusual amount can be explained before it reaches the next billing step.
Watch for these gaps
- Counting repair orders as recurring program units
- Leaving an archived shop in the active reporting queue
- Using a price override to hide an incorrect service quantity
A repeatable billing readiness review workflow
- 01
Open the organization billing readiness view before starting invoice processing.
- 02
Read each surfaced blocker and identify the setup path that owns its resolution.
- 03
Resolve the applicable configuration, assignment, destination, or data issue.
- 04
Return to readiness and confirm the run is ready for the next approval step.
Bring the industry records into the review
For auto repair shops, use shop directory with franchise status and local operating contact; maintenance-plan or inspection-unit quantities by cycle; repair-period exceptions and supporting document requests as the evidence packet. Keep the franchise and reporting period attached to each record so a reviewer can follow the source without reconstructing the conversation.
What to do when the review finds a problem
A readiness check identifies a missing prerequisite.
Assign the blocker to the team that owns the linked configuration or source record.
The readiness result contains mixed severity states.
Separate a warning that can be accepted from a blocker that prevents the run.
All surfaced blockers have a disposition.
Confirm the organization, franchise, period, and destination scope before declaring the run ready.
Configuration or source data has changed.
Recheck readiness after each resolution and record the final result before approval.
A common mistake to avoid
Treating an empty or failed readiness response as proof that a billing run is ready.
Before you mark the work complete
A pre-run blocker register listing scope, blocker owner, linked resolution path, decision, and final readiness time.
- Every surfaced blocker has an owner and next action.
- The linked setup path resolves the relevant prerequisite.
- Readiness is rechecked before a run is approved.
Verify each shop's program assignment and reporting owner before checking amounts. Keep repair orders, inspections, and recurring maintenance in separate units, then review blank, zero, and positive quantities as different states. Check that overrides are still active and justified, and resolve any stale-version response before finalizing the cycle.
Download the auto repair shops review worksheet →A situation to work through
An auto repair network can review a monthly maintenance program by shop, search a location, and compare the reported service count with the rule's organization price and effective amount. A shop manager's correction is previewed before save, and a stale row is reloaded rather than overwritten. The result is a period record that explains the quantity and its reviewer.
Apply the billing readiness review steps above to this situation. Record the original evidence, the unresolved question, and the person who can answer it before treating the item as complete. This is a planning example, not a customer result.
How can teams check billing readiness?
Open billing readiness before processing, review each surfaced blocker, follow its linked setup path, resolve the applicable issue, and recheck the page. This creates a clear handoff from configuration work to an approved billing run.
Put the workflow into practice
Granite's billing readiness view links each surfaced blocker to the setup path that owns its resolution.
Use this guide to organize your process, then configure the applicable franchises, reporting periods, and billing rules in Granite.