Home / Guides / Property management / Sales-based billing rule setup / Checklist Process guide Readiness checklist Troubleshooting Sales-based franchise billing rule checklist for property management companies Use this checklist when configuring a sales-based billing rule for eligible reporting periods. It validates the calculation model, scope, dates, availability, destination, preview, and readiness handoff so a saved rule is understandable before it influences invoice work.
Start the checklist ↓ Prepare before reviewing Confirm the rule family, intended services or classes, affected franchises, and effective period. Have the permitted payment destination and current reporting context available for preview. Decide who reviews the rule preview and who may activate the saved version. Industry context 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.
Continue in Granite Granite's sales-based billing rules connect versioned configuration to eligible reporting periods and invoice review.
Process guide Readiness checklist Troubleshooting