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en:prep_orderinvoice [2022/05/23 12:16]
artem
en:prep_orderinvoice [2023/11/01 17:49] (current)
artem
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-====== Invoices generation for provided services ======+====== Invoice Generation for Rendered Services ======
  
->With Ysell.pro features you can generate invoices for provided by the Prep Center servicesMonthly billing lets reduce quantity of transactions by collecting them into one invoice.+>In this guide, we will take a detailed look at the process of invoicing in the Ysell.pro system for Prep Center clientsAn essential part of this process is correctly setting the financial status for processed shipments, as well as creating an order necessary for invoice generation. 
 +>Before creating an order, it is essential to ensure that the correct financial status is assigned to processed shipments. In this guide, we will explain how to correctly set this status and create an order that will serve as the basis for an invoice.
  
-----+====== Shipment Financial Status ====== 
 + 
 +>In Ysell.pro, it is crucial to set the financial status of shipments correctly for invoicing clients for delivery. This status determines when shipments can be invoiced to the client. There are three financial statuses available in the system: 
 +>**Controlling**: This status means that the shipment is under control. At this stage, all data is checked and confirmed before invoicing the Prep Center client. 
 +>**Ready to bill**: If a shipment is in the "Ready to bill" status, it means that all necessary processes and preparations are completed. The shipment is ready for invoicing the client. 
 +>**Closed**: When a shipment is in the "Closed" status, it means that all tasks and operations related to the shipment are completed. The invoice has been issued, and the shipment is considered completed. 
 +>Please note that the Prep Center client only sees the shipment processing status (Transfer/Processing/Ready to ship/Done). The financial status is used for order formation, necessary in the invoice creation process. This status determines when the shipment can be invoiced to the client and when the invoicing process is completed. In the following sections of the guide, we will explain in detail how to manage shipment financial statuses. 
 + 
 +===== Managing Shipment Financial Status ===== 
 + 
 +>Setting the correct financial status ensures efficient invoicing and control over processes. 
 +>Setting the Financial Status in the WMS Ysell.pro is done manually or automatically. The financial status of **Controlling** is automatically assigned when the **Done** or **Ready to Ship** statuses are set, ensuring preparation for invoicing. 
 + 
 +>To set the financial status of a shipment **manually**, go to the **Shipments** page in the Prep Center section. Select the relevant shipments, then go to the "Change finance status" section by clicking on **Actions**. Choose the appropriate status and confirm the changes by clicking **Change statuses**. 
 +>>{{:ru:fint_1.png?650|}} {{:ru:finance_2.png?450|}} 
 + 
 +===== Invoicing the Prep Center Client ===== 
 + 
 +>Once the financial status of the shipment is set, you can proceed to create an order for invoice generation:
  
->Go to the **Shipments** section. Check boxes of shipments that are in **PAY** status and need to be billedYou can filter shipments by their statusesSelect a company that will be used to send the invoice in **Create order** blockClicking Create Order initiate order creating list with selected shipments +>To invoice shipments, go to shipments in the **Ready to bill** statusand select those for which you need to create an invoiceClick **Actions** - **Create Order**Choose the company on behalf of which the invoice will be created and specify the billing period in the **Billing period** fieldClick **Yes** to generate an invoice for the selected shipments. 
->>{{:ru:invoiceprep_1.png?800|}}+>>{{:ru:financee_3.png?800|}} {{:ru:financeee_4.png?400|}}
  
 ---- ----
  
->System will create an order indicating receiver a company that shipments which have been selected previously. In the block **Order contents** listed services that have been applied to processed shipments and their costs+>By selecting shipments in the **Ready to bill** status for which you need to invoice the client, the system generates an order using the client's company data. When creating the invoice, the order reflects the services related to the previously selected shipments. 
->>{{:ru:prepinvoice_4.png?550|}} {{:ru:prepinvoice_3.png?650|}}+>>{{:ru:finance_5.png?700|}} {{:ru:finance_6.png?500|}}
  
 ---- ----
  
->Go to //Sales proceeds// block. Select preferable method of payment by clicking //Payment method//. To write-off funds prepaid in advance select **Balance** as payment method. Clicking //Pay From Balance// you write-off cost of sending from the Client.+>Go to the //Sales proceeds// section. Select your preferred payment method by clicking on //Payment method//. To deduct the funds deposited by the client in advanceselect **Balance** as the payment method. Clicking on //Pay From Balance// will deduct the shipment'cost from the client.
 >>{{:ru:prepinvoice_5.png?600|}} >>{{:ru:prepinvoice_5.png?600|}}
  
 ---- ----
  
->After writing-off funds from the Client balance the order will get to 7.1 statusInvoice to pay is availiable by clicking "Invoices".+>After deducting funds from the client'balancethe order will change to status 7.1. The invoice for payment of the order is available by clicking on Invoices.
 >>{{:ru:prepinvoice_6.png?600|}} {{:ru:prepinvoice_7.png?600|}} >>{{:ru:prepinvoice_6.png?600|}} {{:ru:prepinvoice_7.png?600|}}
  
 ---- ----
  
->To generate invoices, select **Invoice** payment method in **Sales proceeds**. Create invoice by clicking **Invoices** **Create Invoice**+>To generate an invoice for payment, select **Invoice** as the payment method in **Sales proceeds**. Create the payment invoice by clicking on Invoices - Create Invoice.
 >>{{:ru:prepinvoice_8.png?600|}} {{:ru:prepinvoice_9.png?600|}} >>{{:ru:prepinvoice_8.png?600|}} {{:ru:prepinvoice_9.png?600|}}
  
 ---- ----
  
->After payment is done by Client indicate payment date in the string **Payment date**. Status will be changed to 7.1.+>After the client has paid the issued invoice, specify the **Payment date** in the lineThe order status will change to 7.1.
 >>{{:ru:prepinvoice_10.png?600|}} >>{{:ru:prepinvoice_10.png?600|}}
  
 ---- ----
  
->Information on billed invoices, balance amount are available on the company card in the **Finance** section of Client+>Information about the invoices issued to clientstheir payment status, and the amount of funds prepaid is available on the customer'company card in the **Finance** section.
 >>{{:ru:prepinvoice_11.png?800|}} >>{{:ru:prepinvoice_11.png?800|}}
 +
 +====== Invoicing via Prep Center - Clients ======
 +
 +>Go to the **Prep Center - Clients** section. Check the box for the Prep client for whom you need to create an invoice in the system. Select group actions by clicking on **Actions on Selected**.
 +>>{{:ru:preorders_1.png?direct&600|}} {{:ru:prepclients_2.png?direct&600|}}
 +
 +----
 +
 +>Select **Create Order** from the menu. The system will create a Prep order for the selected client.
 +>>{{:ru:preporders_3.png?direct&600|}} {{:ru:preorder_4.png?direct&600|}}
 +
 +----
 +
 +>Add items to the order by clicking on **Add** in the **Order Content** section. Specify the **Title** as the name of the service or product for which the system will issue an invoice. In the **Unit Price** line, specify the cost. **Qty** indicates the quantity of units of the product or service.
 +>>{{:ru:preorder_5.png?direct&800|}} {{:ru:preorder_6.png?direct&400|}}
 +
 +----
 +
 +>Generate an invoice by clicking on **Invoices - Create Invoice**.
 +>>{{:ru:preorder_8.png?direct&800|}}
  
  • en/prep_orderinvoice.1653300970.txt.gz
  • Last modified: 2022/05/23 12:16
  • by artem