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Required Setup for Rebilling Recoveries
Various set up options are available for commercial properties
(i.e., property type set to 6-Standard Commercial).
How you choose to define set up options determines how the system recaptures
your operating expenses. Although many setup scenarios are possible, this
section covers the basic set up tasks necessary to process rebilling recoveries.
Once you understand this process, you can customize these options to best
suit your individual business needs.
Recoveries Setup Task Plan:
Property Setup
The Recovery Active Date for
any property rebilling recoveries must be verified on the Properties
Tab. This date defines the first day of your Recovery Year and plays
a significant role in the way the system handles rebilling calculations.
Why would this date change?
If your management company takes over a property
mid-year, you may want to change the Recovery Active
Date to reflect the date of the take over, not the original date
entered during property setup. Doing so tells the system to consider this
date to be the first day of your Recovery Year and to consider it when
calculating the rebilling recovery amounts.
Recoveries Setup
Rebillings Setup—Rebilling
Group Codes
Rebilling Group Codes must
be set up to link a select group of tenants together for processing recoveries
under the Recoveries Setup menu (Setup—Rebillings—Recoveries—Rebilling
Group Codes). When selected, all tenants linked to this code will be simultaneously
included in the rebilling recoveries process.
Rebillings Setup—Denominators
Denominators define the
tenant’s proportionate share of expenses to be considered in the recoveries
calculation and are set up under the Recoveries Setup menu (Setup—Rebillings—Recoveries—Denominators).
Since the recoveries calculation considers the property’s total square
footage, there may be a time when you want to exclude a particular suite.
For instance, Property A may include an unusually large suite. Including
that suite’s square footage in the rebilling calculation would throw off
the number for the rest of the suites. In this case, two denominators
would be set up to act as divisors for a more realistic result: two for
the unusually large suite and one for all other suites.
Property Setup
Rebillings Setup—Attachments
Attachments assign names
to Denominator Codes, indicate whether it is considered a primary code
in the recovery calculation for a specified property and are set up under
the Recoveries Setup menu (Setup—Rebillings—Recoveries—Attachments). For
instance, an Attachment is used to attach a Denominator to a property
and is intended for use by companies with complex business structures
that include many properties. Using Attachments can simplify an otherwise
complicated property set up process.
Rebillings Setup—Expense
Tables
Expense Tables are used
to define property expenses you are attempting to recapture by billing
a proportionate share back to the tenants and are set up under the Recoveries
Setup menu (Setup—Rebillings—Recoveries—Expense Tables). They can also
be used to define defaults for income codes included in those rebilling
calculations. Each table consists of multiple expense accounts that control
the GL accounts used to transfer those expenses from the General Ledger
and control the formatting of totaling amounts displayed on each tenant’s
recovery statement. As part of set up process, you have the option to
exclude expense accounts from the defined GL Account range.
Expense details associated with each expense account
holds the actual amount of expenses to reconcile, as well as any budgeted
or forecasted amounts to consider when calculating new estimated billings
for recovering expenses. Expense details can be transferred from your
General Ledger system based on your defined GL account range (and possibly
any excluded accounts) using the Import Expense Tables utility under the
Data Transfer menu (Data Transfer—Import Expense Tables) or can be done
manually. Note, the utility has the ability to import expense tables,
accounts and detail. You determine what imports using the utility options.
In summary, use Expense Tables to group property expenses
a tenant can be rebilled for, define the defaults for income codes used
in tenant recoveries, to indicate which percentage of the fee you can
collect, to determine whether to display vacant suites on related expense
table reports, and to view the last amount calculated using expense tables
in recovery calculations.
Tenant Recoveries Setup
Recoveries Details defines information necessary
to rebill recoveries for eligible tenants and is set up under the Leasing
menu (Leasing—Lease Changes—Recoveries). This information must be completed
for each eligible tenant and is used as the basis for their individual
calculations. For detailed entry requirements, refer to View/Modify Recoveries.
See
Also
Rebilling
Recoveries Overview
Rebilling
Recovery Types
Recoveries
Terminology
Effects
of Policies for Recoveries
Processing
Recoveries Overview
Recovery
Calculations Overview