Billing statements

A billing statement is a reconciliation sheet between you and the customer. You enter the customer’s figures, compare them with yours, settle the differences, and only then issue the invoice.

When to use

Use it for customers who dispute or verify hours and items before paying, or when your policy requires agreement first.

Before you start

ItemDetail
ScreenA statement opens from the Billing screen (/service-management/billing)
PermissionBilling access in Service Management; attachments also need document read access
service.billing_statement_requiredRequires a statement before an invoice can be issued

Reconcile and invoice

Create the statement

From the billing queue, create a statement and add the billable lines.

Enter the customer’s figures

Import or type the customer’s numbers and run reconciliation. Each difference is listed.

Resolve differences

Resolve every difference, then finalize the statement. If you must change it afterwards, reopen it.

Send, confirm and invoice

Send the statement, record the customer’s confirmation with a signed record attached, then issue the invoice.

Statuses

StepMeaning
DraftLines and customer figures being prepared
FinalizedDifferences settled, ready to send
SentDelivered to the customer
ConfirmedCustomer agreed
InvoicedInvoice issued from the statement

Tips & common mistakes

  • Resolve all differences before finalizing; unresolved ones block progress.
  • Attach the customer’s confirmation so the invoice has evidence behind it.
  • Cancel a statement only if no invoice has been issued from it.