Franchise unit quantity billing for electrical services

Run per-cycle quantity work from the unit billing workspace. Select the rule, review assigned franchises, enter changing quantities, preview the batch, resolve validation or stale-row feedback, and finalize the eligible entries while preserving the rule and period context.

What changes in electrical services operations

Electrical service groups coordinate branches that may handle inspections, repairs, installations, and recurring programs. Corporate staff need a reliable way to compare what each branch reported with the unit rule that governs it. A focused operations record links the branch, period, quantity, price source, supporting files, and review state so a discrepancy can be resolved without losing context.

Watch for these gaps

  • Blending installation projects with recurring inspection units
  • Leaving a local override in place after the underlying program changes
  • Assuming every branch uses the same currency or unit label

A repeatable franchise quantity entry workflow

  1. 01

    Open Unit billing and select the active rule and cycle that need quantities.

  2. 02

    Review the assigned franchise rows and enter the changing per-cycle amounts.

  3. 03

    Preview the batch and resolve any validation or stale-row feedback.

  4. 04

    Finalize eligible entries and keep the resulting period state available for review.

Bring the industry records into the review

For electrical services, use branch directory with assigned manager and active or archived state; inspection, repair, or program-unit quantities by period; price overrides and reviewer changes tied to a specific branch row 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

The selected rule, reporting period, or franchise set is uncertain.

Stop and select the correct rule and cycle when the workspace context does not match the intended period.

Assigned franchise rows are being reviewed for the current cycle.

Enter only the quantities that changed and preserve an unchanged value when the source confirms it.

Validation or concurrent-change feedback is present.

Resolve missing, invalid, or stale-row feedback before approving the batch.

The preview matches the source and review is complete.

Finalize only the rows shown as eligible in the preview and retain the batch result.

A common mistake to avoid

Replacing a blank or unchanged quantity with zero without confirming that zero is the intended source value.

Before you mark the work complete

A cycle quantity batch with the selected rule and period, changed rows, validation results, preview outcome, and finalization owner.

  • The selected rule and period are correct.
  • Validation and stale-row feedback are resolved.
  • The preview is eligible before finalization.

Confirm the branch and program pairing before looking at amounts. Check that the quantity represents the configured work unit, that any override is intentional, and that the effective price is the one used for the open period. Review archived branches separately, resolve version conflicts by reloading, and keep a short business reason with every exception.

Download the electrical services review worksheet →

A situation to work through

Imagine a multi-state electrical group reviewing a monthly inspection program. The corporate reviewer selects the rule, searches for a branch, and sees the base organization price, any branch override, and the effective amount beside the reported quantity. The reviewer can save a corrected row through its preview, while the branch's existing period entry remains version-aware and traceable.

Apply the franchise quantity entry 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 do teams enter recurring franchise quantities?

Open the unit billing workspace for a rule, review assigned franchises, enter per-cycle quantities, preview the batch, resolve validation or stale-row feedback, and finalize eligible entries. The preview keeps the period and rule context visible before changes are applied.

Put the workflow into practice

Granite's unit billing workspace connects franchise quantities to a preview and eligible finalization.

Use this guide to organize your process, then configure the applicable franchises, reporting periods, and billing rules in Granite.