What changes in property restoration operations
Property restoration groups manage branches handling water, fire, mold, and rebuild work with different reporting rhythms. Their central team needs a business view that separates recurring program units from project activity and identifies branch exceptions early. Keep each period tied to its branch, rule, quantity, price source, supporting document request, and review state so urgent work does not erase ordinary controls.
Watch for these gaps
- Using project milestones as recurring service quantities
- Letting an urgent job bypass period ownership and review
- Leaving a temporary branch override in place after the project ends
A repeatable payment destination setup workflow
- 01
Open Billing setup and review the organization's configured payment destinations.
- 02
Confirm the standard or fallback destination used by the applicable billing rule.
- 03
Add or update an allowed Stripe account when the current role permits it.
- 04
Confirm the destination status and return to readiness or the rule before processing.
Bring the industry records into the review
For property restoration companies, use branch directory with service mix and operating status; program or service-unit quantities by reporting period; project-period exceptions and supporting document requests 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
More than one organization or Stripe account is in view.
Confirm the destination belongs to the intended organization before adding or editing its routing record.
A new or rotated provider credential is being prepared.
Use the approved key mode and keep the full credential out of notes, screenshots, and worksheets.
The saved destination is not in a ready state.
Resolve verification or webhook setup issues before assigning the destination to a billing rule.
The provider status and organization setup are confirmed.
Recheck the fallback or standard route after the destination is ready.
A common mistake to avoid
Copying a full Stripe key into an operational record while trying to prove that routing is configured.
Before you mark the work complete
A routing readiness record naming the organization destination, non-secret key metadata, verification state, and rules that use it.
- The destination belongs to the intended organization.
- Its provider status is configured and readable.
- Rules and readiness point to the intended route.
Separate recurring program work from project milestones before checking amounts. Confirm the branch owner and period, then review whether any override is temporary and tied to the right cycle. Use a preview before saving, follow up on missing documents, and keep urgent exceptions visible until the accountable reviewer closes them.
Download the property restoration review worksheet →A situation to work through
A restoration operator can select a program, search a branch, and see the reported unit count, organization price, local override, and effective amount together. A project-related correction can be documented without rewriting the recurring rule. The operator reviews the row's current version before saving and keeps the period status visible while a supporting document is still requested.
Apply the payment destination 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 are invoice payment destinations prepared?
Review the organization's configured Stripe destinations and the fallback or standard route used by billing. Add or update an allowed account, confirm its status, and return to billing readiness or the rule before processing invoices.
Put the workflow into practice
Granite's payment destinations workspace connects permitted Stripe accounts to billing rules and readiness.
Use this guide to organize your process, then configure the applicable franchises, reporting periods, and billing rules in Granite.