Franchise invoice payment portal for plumbing services

Give a franchise payer a clear path to settle an open invoice. Open the invoice detail, confirm the amount and due state, start the available Stripe Checkout flow, and return to the invoice to verify payment status after the provider response.

What changes in plumbing services operations

Plumbing franchises work across emergency calls, scheduled maintenance, and project-based repairs. Their records become easier to manage when the central team can distinguish location assignments, service units, and period state. Give branch managers a clear path to report quantities and corporate reviewers a clear path to investigate exceptions without editing the underlying rule by accident.

Watch for these gaps

  • Treating emergency call volume as the same unit as scheduled maintenance
  • Changing a branch assignment to work around an unreviewed quantity
  • Finalizing an entry while a correction request is still unresolved

A repeatable invoice payment workflow

  1. 01

    Open the franchise invoice detail and confirm the open balance and due state.

  2. 02

    Start the available Stripe Checkout handoff from that invoice.

  3. 03

    Complete the card payment in the provider checkout flow.

  4. 04

    Return to the invoice and verify the provider-reported payment status.

Bring the industry records into the review

For plumbing services, use branch and territory assignments with current operating status; scheduled service or maintenance-unit quantities for each cycle; correction notes and audit history for changed period entries 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 invoice status and amount have been confirmed.

Use the payment handoff only when the invoice is open and the displayed balance is understood.

The payer is ready to begin the card payment.

Start checkout from the intended invoice and keep its identifier with the payment attempt.

The provider flow does not return a completed payment result.

Treat an interrupted or abandoned checkout as unresolved until the invoice status is checked again.

The payer returns from checkout or the provider reports a result.

Close the handoff only when the invoice reflects the provider-reported payment outcome.

A common mistake to avoid

Treating a return from checkout as confirmation that the invoice was paid.

Before you mark the work complete

A payment handoff record connecting the invoice, open balance, checkout attempt, provider result, and final invoice status.

  • The invoice is open and the amount is understood.
  • The checkout is started from the intended invoice.
  • The invoice status is rechecked after checkout returns.

Map each branch to the service rule it actually uses, then check the cycle's unit label and due date. Review open and overdue entries separately from completed work, and do not use a pricing override to correct a quantity mistake. Save only after the preview is clean, and record a specific reason for any reopen or void action.

Download the plumbing services review worksheet →

A situation to work through

A plumbing network can review its open cycle by branch, search directly for a franchise, and see which rows are ready, overdue, or still incomplete. The reviewer compares the saved service count with the local manager's submission, makes a bounded correction when needed, and keeps the original period and version context visible before the entry is finalized.

Apply the invoice payment 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 does a franchise pay an open invoice?

Open the invoice detail, confirm the amount and due state, start the available Stripe Checkout flow, and return to the invoice to verify the provider-reported status. Granite supports card checkout while keeping payment records tied to the invoice.

Put the workflow into practice

Granite's invoice checkout hands open-balance payment to Stripe Checkout and returns status to the invoice.

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