Set Up Project Billing Configurations
Security:
Set Up: Project Billing - Configurations
domain in the Project Billing functional area.You can configure:
- Deferred billable project costs accounting.
- Required fields for Workday to populate when you transfer or split nonlabor project transactions.
- Revenue offsets for invoiced billable transactions.
- Workday to recalculate transactions based on billing status.
- Access theSet Up Project Billing Configurationtask.
- As you complete theProject Transfer Optionstab, consider:
Option Description Accounting Adjustment DateSelect a date for Workday to populate when you transfer or split paid nonlabor project transactions on theManage Project Billing TransactionsandTransfer Project Transactionstasks.When you select:- Use Today's Date, the accounting adjustment uses the date of the transfer.
- Use Transaction Date, the accounting adjustment uses the date of the transaction.
Workday requires you to configure an accounting adjustment date for project transfer.Accounting Adjustment ReasonSelect a reason for Workday to populate when you transfer or split paid nonlabor project transactions on theManage Project Billing transactionsandTransfer Project Transactionstasks.Workday requires you to configure an accounting adjustment reason for project transfer. You can configure accounting adjustment reasons on theMaintain Accounting Adjustment Change Reason Codestask.Transfer Reason RequiredSelect to require a transfer reason when you transfer nonlabor project transactions on theManage Project Billing TransactionsandTransfer Project Transactionstasks. - As you complete theTransfer Reasonstab, consider:
Option Description DefaultSelect a default transfer reason for Workday to populate when you transfer unpaid nonlabor project transactions on theManage Project Billing TransactionsandTransfer Project Transactionstasks.In UseWorkday enables this check box when you use the transfer reason to transfer nonlabor project transactions on theManage Project Billing TransactionsandTransfer Project Transactionstasks.You can't delete a transfer reason when it's in use. - As you complete theRevenuetab, consider:
Option Description Revenue Offset for Invoiced Billable TransactionsSelect to prevent the creation of revenue offset installments when you've already accrued revenue.Enable Deferred Billable Project Costs AccountingSelect to generate billable project cost recognition operational journals for nonlabor billable project transactions when you recognize revenue.Once you enable deferred billable project costs accounting, you can't disable it. - As you complete theBillingtab, consider:
Option Description Automatically Recalculate TransactionsSelect to recalculate billable project transactions when there's a change to the associated:- Billing schedule.
- Billing rate sheet.
- Contract rate sheet.
- Customer contract.
- Standard rate sheet.
When you don't automatically recalculate transactions, Workday populates theRecalculatecolumn on theManage Project Billing Transactionstask to identify the billable projects and transactions that might require recalculation.Workday doesn't automatically recalculate transactions when you:- Add, edit, or delete a project rate rule.
- Add or edit a worker rule billing rate.
- Add or reorder standard billing rate by rules.
- Cancel an invoice resulting in transactions returning toReady to Billstatus.
- Edit a project.
- Update a worker attribute.
Recalculate Transactions with Billing StatusWhen you select theAutomatically Recalculate Transactionscheck box, select the billing status that you want Workday to recalculate.Reset Invoiced Transactions to Billing StatusSelect the billing status that you want Workday to apply to billable project transactions when you deny, cancel, or credit adjust an invoice. By default, Workday populates the prompt with a billing status ofReady to Bill.Workday doesn't apply the billing status to order fulfillment or daily project transactions.Hide Separate Tabs in Transaction GridSelect this option to display the billing transactions grid with all fields in one view. Clear the option to display the grid with tabs that group related fields together. The option is unchecked by default.Transaction Types for AdjustmentSelect the transaction types that users are allowed to mass modify.For more information, see Concept: Set Up Project Billing Configurations.Enable Custom Validations for Customer Invoice ProposalsSelect this option to enable custom validations created for the customer invoice context to also apply to customer invoice proposals.This option is checked by default.For information on how to restrict custom validations to apply only to customer invoices or customer invoice proposals, see Concept: Set Up Project Billing Configurations. - As you complete theTimetab, consider:
Option Description Billing ActivitySelect one or more options to prevent users from deleting worker time blocks that match any of the selected billing statuses.Revenue Recognition ActivitySelectRevenue Scheduled or Revenue Recognizedto prevent users from deleting worker time blocks that have already had their revenue recognized or scheduled.Project ActivitySelectProject Is Inactiveto prevent users from deleting worker time blocks that belong to inactive projects.SelectProject End Date Has Passedto prevent users from deleting worker time blocks that belong to projects that have ended.SelectProject Is InactiveANDProject End Date Has Passedto prevent users from deleting worker time blocks that belong to projects that are inactive AND have ended.Include Intercompany BillingSelect this option to block the deletion of worker time blocks with intercompany billable time whenBilling Activityoptions are selected.