Skip to end of metadata
Go to start of metadata

You are viewing an old version of this page. View the current version.

Compare with Current View Page History

« Previous Version 38 Next »

Procedures & concepts used in administering OIT's billing in PCR-360 and Banner

High-Level Billing Administration Tasks (& Triggers)

Service provision → PCR → Banner billing cadence

A charge categorized by PCR’s Billing tab M/Y field as 08/20xx indicates billing for service rendered in OIT’s current standard 8/21-9/20 billing period, which we often call September, and which will be processed as a JV or billed to a cash customer later that month, September 21-30.

  • Bills are based on 30/31 day months ending the 20th: 21st of last month - 20th of this month. This is the service/billing period.

  • Shortly after the 20th, PCR bills are generated based on the just-closed billing period, including all charges dated inside it.

  • The PCR export is imported automatically into Banner the night after bill generation. There are sometimes errors (mostly expired index codes) which are repaired manually before re-importing.

  • The date of the successful Banner import (generally any day between the 21st and last business day of the calendar month) becomes the date on the JV in Banner.

  • Banner JVs are visible to fiscal officers; PCR invoices are available to TCs via PCR login.

  • Cash customer bills are manually created and sent by email each month shortly after the PCR bill generation.

  • Rebilled vendor charges (Adobe Sign e-signature, 800 Numbers, Expanded Conference Calling) are billed to customers one month late, since they’re imported into PCR during the 1st-20th of the month after a calendar month of service (Adobe Sign) or after the vendor bill arrives (others), and processed/JV'd normally later that month. So transactions for the calendar month of August would generally be imported and PCR-dated some time in September (1-20) and JV dated later in September.

Responsibilities

  • The ICAT team provides PCR-360 as a service to OIT to use for billing administration, supporting the application (using SLA2 servers co-managed by LAP).

  • Indy uses PCR-360 to coordinate TI Telecom service request fulfillment, with integrated billing service/charge changes

  • Indy and Brent use PCR-360 to administer OIT billing:

    • Import rebilled vendor charges (Adobe Sign e-signature, 800 Numbers, Expanded Conference Calling)

    • Trigger the monthly PCR-to-Banner JV export

    • Create & send bills for cash customers

    • Process payments from cash customers

  • Michele handles related tasks: (italics will migrate to Indy/Brent)

    • Process changes/charges from all "Billing change" requests + credits for all services/charges

    • Charge campus customers for miscellaneous bills paid by OIT

    • Resolve Banner JV load failures

    • Alter Banner JVs before resubmission to address errors (usually expired index codes)

    • Issue credits/refunds to cash customers

    • State bond reconciliations for project charges billed to CPC index codes

Potential Improvements

  1. Incorporate Leslie’s Monthly Billing Checkup actions into monthly billing

  2. Use PCR-360 native PDF generation and customer account tracking to replace https://docs.google.com/spreadsheets/d/1hPVBU--2cBdEVWQmErZpTNvkiUJkkbjpfq87M33tkyU/edit#gid=0

  3. Batch check deposits (since they’re already tracked in PCR-360) to speed deposit preparation, records, processing

SME review status

Next due

CURRENT

 

  • No labels