Franchise invoice balance review for property management companies

Review franchise invoices from the list through the detail view. Search the relevant record, confirm line items, balance, due state, payment history, and source reporting period, then follow the available next action without changing immutable invoice evidence.

What changes in property management operations

Property management groups coordinate portfolios, offices, service programs, and recurring work across many properties. Corporate operators need to distinguish a property assignment from the operating work reported for a period. Organize the review around property or branch ownership, configured units, effective price, open exceptions, and document requests so a manager can identify what is missing without browsing unrelated lease or resident details.

Watch for these gaps

  • Putting resident or lease details into a broad business record
  • Treating a property transfer as a normal quantity change
  • Using a portfolio total when the rule is scoped to each property

A repeatable invoice balance review workflow

  1. 01

    Open the franchise invoice list and locate the invoice by its visible identifying details.

  2. 02

    Open the invoice detail and confirm the source reporting period and line items.

  3. 03

    Review the balance, due state, payment history, and any available payment handoff.

  4. 04

    Follow only the action supported by the invoice's current status.

Bring the industry records into the review

For property management companies, use property and office directory with assigned operating owner; management-service or recurring-unit quantities by period; property document requests and operational change history 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 cannot be uniquely identified from the list.

Stop and find the correct record when the franchise, invoice identifier, or source period does not match the question.

The invoice detail is open.

Reconcile each visible line item to the expected source before discussing the balance.

The amount and source period have been confirmed.

Use the status and payment history to determine the next permitted follow-up.

The line items or balance do not explain the displayed state.

Escalate a discrepancy with the invoice context attached rather than changing the record during review.

A common mistake to avoid

Taking action from a list total without opening the invoice detail and checking its source period and status.

Before you mark the work complete

An invoice review note that confirms identity, source period, line items, balance, status, payment history, and next permitted action.

  • The invoice belongs to the intended franchise and period.
  • Line items and balance agree with the visible state.
  • The next action respects the invoice status.

Confirm the property and operating owner before reviewing its quantity. Keep resident and lease detail outside the shared billing record, and distinguish a property transfer from a normal correction. Check the selected unit, effective price, and period state, then review document requests and version conflicts before completing the cycle.

Download the property management review worksheet →

A situation to work through

A property management operator can filter a reporting cycle to one property, confirm its configured service unit, and compare the organization price with any local override. A transfer or inactive property remains visible for history while current work stays scoped correctly. The review record points to the responsible office and period without exposing resident-level information.

Apply the invoice balance 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 review an invoice before taking action?

Open the invoice from the list, confirm its line items, balance, due state, payment history, and source period, then follow the available action. Immutable invoice evidence remains available for later reconciliation and audit.

Put the workflow into practice

Granite's invoice detail connects balance review to status-aware payment or follow-up actions.

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