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 sales-based billing rule setup workflow
- 01
Open Billing Rules and choose the sales-based rule family.
- 02
Set the calculation model, effective dates, billing targets, availability, and payment destination.
- 03
Review the rule preview for the selected services, classes, and reporting context.
- 04
Save or activate the version only after its terms and readiness state are understood.
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
A sales-based rule is being created or materially changed.
Choose the calculation model that matches the business rule before selecting targets or entering values.
The rule does not cover every eligible item.
Select the intended services or classes explicitly when the rule should apply to a subset.
The model and target scope have been confirmed.
Set effective dates and a payment destination that are valid for the rule's reporting periods.
The rule is ready for an activation decision.
Keep the version in review until the preview matches the intended calculation and availability.
A common mistake to avoid
Changing the target meaning while editing a percentage or tier value because the selection was left implicit.
Before you mark the work complete
A versioned sales-rule configuration record with calculation model, targets, dates, availability, payment route, preview, and approver.
- The calculation model matches the intended business rule.
- Effective dates and billing targets are correct.
- The payment destination is configured before activation.
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 sales-based billing rule setup 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 configure sales-based billing rules?
Choose the calculation model, effective dates, billing targets, availability, and payment destination, then inspect the preview before activation. Versioned rules keep the selected terms tied to eligible reporting periods and later invoice review.
Put the workflow into practice
Granite's sales-based billing rules connect versioned configuration to eligible reporting periods and invoice review.
Use this guide to organize your process, then configure the applicable franchises, reporting periods, and billing rules in Granite.