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 report issue review workflow
- 01
Open the submitted report from the reporting worklist or franchise record.
- 02
Read the calculation status and inspect each warning in its source context.
- 03
Correct the underlying report data or route the issue to an authorized reviewer.
- 04
Recheck the report status before using it as billing input.
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 warning explains a condition that the reviewer has checked and accepted.
Record the warning as informational and continue the review when it does not change the reported result.
The warning points to data that would change the report outcome.
Correct the source data and request a fresh calculation when the warning identifies an input or mapping error.
The warning is ambiguous or requires a decision outside the reviewer's authority.
Escalate with the report context attached when the reviewer cannot determine the intended treatment.
The source or decision has been changed.
Close the issue only after the new calculation or reviewer decision is visible on the report.
A common mistake to avoid
Clearing a warning without recording why it was accepted or what source value resolved it.
Before you mark the work complete
An issue log that ties every report warning to its source location, disposition, reviewer, and resulting status.
- The report and reporting period are the intended source.
- Every warning has a readable explanation.
- The final calculation status is visible before follow-up.
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 report issue 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.
What happens when a sales report needs review?
Open the report's calculation and warning details, inspect the source context, and resolve the issue before relying on billing output. Granite keeps the report status visible so authorized teams can distinguish a warning, a review state, and a completed calculation.
Put the workflow into practice
Granite keeps sales report warnings and calculation status with the review handoff for authorized teams.
Use this guide to organize your process, then configure the applicable franchises, reporting periods, and billing rules in Granite.