IN FIRM: Optimizing Today’s Time & Billing
Column: Technology IN Practice
Nov. 01, 2006
From the Nov. 2006 Issue
Most partners would argue that, outside of the firm’s tax and audit production
applications, time and billing is the most mission critical program within today’s
tax and accounting firm. These tools have come a long way in recent years to
incorporate enhanced features and processes of which many firms are not even
aware. This article discusses 10 time and billing best practices that should
be incorporated into every firm.
- Daily Time Sheet Entry: With the multitude of ways for
individuals to connect to the firm today, there is no reason why every person
in the firm should not be entering and posting time daily. Remote access tools
such as Citrix, Microsoft Windows Terminal Server, XP Remote, and broadband
cellular access via aircards have become ubiquitous and cost effective. Today’s
SQL databases that run time and billing are significantly more robust, allowing
for real-time posting of this data as well. Studies done in the past found
that firms moving from monthly entry and posting on a daily basis experienced
a 7 percent increase in utilization, and firms traditionally posting on a
weekly basis increased their captured hours by 5 percent by going to daily
time entry. - Daily Expenses: Capturing expenses should be done on a
daily basis, as well, for both client reimbursable and firm reimbursable expenses.
This is particularly easy today as both these types of charges can be tracked
in time and billing, as well. Many firms still have their personnel create
separate expense reports in Excel or write down information on a manual expense
form, which the administrative department has to re-key into time and billing
when they receive the report. By entering expenses directly with time on a
daily basis, the likelihood of missing an item is drastically reduced, and
the employee can print the completed report out of time and billing and attach
receipts. When reimbursing expenses, remember these commonly small checks
take administrative processes to create and track, as well as time out of
the auditor’s day to run them to the bank. By using direct deposit as
a non-taxable reimbursement within payroll, the firm will streamline the expense
reimbursement process. - Daily Billing: With time and expenses up to date, firms
can create an invoice with the completion of every client project. As most
firms have gone to dual monitors, the ability to review WIP and receivables
information on-screen has become a practical alternative to the traditional
month-end paper markup and re-key process. And honestly, the individual’s
knowledge of that client, and what should be billed, is at its best when they
complete the project, rather than a month later when they are trying to remember
any special circumstances along with the hundred other bills they are trying
to get out. Best practices today are to push the billing down to the in-charge
on an engagement, which usually equates to the top one-third of employees
having the capability to create an invoice. This process is particularly effective
for tax-return only clients, whom you only bill once per year. - Digital Invoices: Printing, stuffing, stamping and sending
month-end invoices can be a time consuming and expensive process because it
is very manually intensive. Some of the top time and billing applications
have the capability to have a client designated to receive a digital invoice,
which creates a *.PDF of the bill, saves it to the network and e-mails it
to a client at the same time as when all the other designated digital invoices
are generated. Please note: This is different from the manual process of having
a staff person generate the invoice in a *.PDF file, manually save it to the
network and attach the file via e-mail. While this second process is acceptable
for a few invoices, most firms find that it is not practical for generating
a large number of invoices. - Digital Delivery of Reports: Many firms create custom
internal reports to manage WIP and receivables that are either generated out
of their time and billing or generated with the help of Excel to combine data
from different sources. These reports are often created on a monthly basis,
printed out and then copied for all the owners and mangers, who receive them
in a paper format. Firms should consider generating a *.PDF of the report
and placing it on the firm’s intranet. Recipients would be e-mailed
a link to the reports and have immediate access without the cost of printing
and delivering. This is particularly effective for multi-office firms where
the delivery can be delayed for days. An added benefit is that the intranet
page can build an archive of previous reports, which are backed up every night. - Integrated Flash Reports: Most time and billing applications
can integrate digital dashboard tools into their systems, which allow for
real-time analysis of firm-wide information. For firms that enter time on
a daily basis, trends can be evaluated daily and include alerts for when certain
situations occur such as a person’s utilization dropping below 50 percent
or a $5,000 receivable hitting 31 days. These reports are based on a concept
of “data cubes” that allow all information to be viewed in multiple
formats such as production by client, the same information viewed by the staff
involved or analyzed by the service codes. Some of the dashboards can be customized
for individual employees or other flash report information that the firm keeps
in time and billing to manage the practice. - Tracking Vacation: We are constantly amazed at how many
firms take information out of time and billing and re-key this data into Excel
for tracking, such as monitoring vacation hours accrued and taken. Virtually
every time and billing system today will allow you to drop in a carryover
amount for the previous year’s vacation accrual and then incorporate
the current allocation, which can be equally allocated throughout the year.
The benefit of this is that firm personnel would be able to look up their
vacation availability without having to ask administrative personnel, and
the firm’s internal human resources person would monitor this from within
their time and billing without re-keying. Please note that this is something
that staff should be trained on looking up, and the instructions should be
documented on the intranet or within the vacation policy pages of the personnel
manual so they can easily access the information themselves. - CPE Management: In addition to vacation tracking, there
are many firms that re-key their CPE data into Excel or another database to
manage. Again, any time personnel have to re-key and reconcile information
in another application, efficiencies are lost. All of the top time and billing
applications allow for the creation of custom fields for individual state
requirements such as instructor name, sponsoring organization, type of CPE,
and qualified versus non-qualifying CPE hours. Let’s face it, the person
taking the course has the best access to this information and should enter
it when they do their daily timesheet. When firms get administrative personnel
involved in re-keying CPE hours, they are adding time because they then have
to get the information from the person attending the CPE. - Centralized Contact Management: There has been much talk
about Customer Relationship Management (CRM), which CPA firms have been very
slow to adopt. While these programs work amazingly well with proper training
and implementation, it takes a significant change in firm culture to get them
to be utilized, which is why the dedicated CRM solutions have such a high
failure rate. Firm partners are all for marketing efforts as “long as
they don’t have to change anything they are doing.” Firms must
analyze what they really “need” and are willing to maintain for
contact management. For most firms, this encompasses list management for holiday
cards, labels for firm newsletters/niche mailings and e-mail contacts. These
are categories and custom fields that most of today’s time and billing
applications can set up, so we recommend centralized maintenance of all contacts
within time and billing as a minimum. For firms running on today’s high-end
databases such as SQL, not only can these databases maintain clients, but
they can maintain prospects, as well, particularly with the newer multi-processor
servers. - Outlook Integration: For more robust utilization of contact
information, some time and billing programs can create a custom export to
a firm-wide Outlook Public Folder, which would allow the data to be used in
an interface that naturally integrates with Word, e-mail and label printing
programs. Most of today’s time and billing systems run on high-end databases
like SQL, which can also be custom coded so that the data can be exported
to specific fields and categories within Outlook. This would allow firms to
maintain all updates in time and billing, and then run the export or linking
application to update the firm-wide contact list, where all authorized viewers
would have access.
Most of these features have been around for years so firms can learn about
how to implement such features from their time and billing vendor’s websites
or via web-based training. To learn how to optimize these processes, we strongly
encourage firms to send a person to the vendor’s annual User’s Conference
at least every other year, where they can evaluate processes first-hand and
network with other users that can share successes as well as warn firms about
pitfalls.
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Roman H. Kepczyk, CPA.CITP is president of InfoTech Partners North America,
Inc. and works exclusively with CPA firms to implement today’s leading
best practices and technologies.