Cas / Commercial & contrats
Commercial & contrats

Déclarer chaque számla à NAV Online Számla

Réglez d'abord le contenu de la facture, transmettez les données à la NAV au moment de l'émission, traitez ce qui revient rejeté ou signalé, et rapprochez l'ensemble déclaré des factures que le projet croit avoir émises.

6 étapes11 minEntreprise généraleSous-traitant spécialiséÉconomie de la construction / métréPromoteur / maître d'ouvrage

Comment ça marche, étape par étape

6 étapes à travers la plateforme - ce que vous faites à chacune et pourquoi c’est important.

1

Get the invoice right before it is issued

Finances

Build the szamla with the content the VAT Act requires: both parties and their tax numbers, the invoice number and dates, the description and quantity of the work, the taxable amount, the rate and the tax, or the marking that says why there is none. Reference the teljesitesigazolas the invoice answers.

Pourquoi: The report carries the invoice, so a defect in the invoice becomes a defect in the report and then a defect in the customer's deduction. Correcting it means a modifying invoice and a second report, and on a construction account it means the payment clock restarts on a document the client has every reason to send back.

EntréeApproved teljesitesigazolasCustomer and tax numberRésultatSzamla ready to issueMandatory fields complete
2

Transmit the data at the moment of issue

Validation des factures électroniques

Send the invoice data through the Online Szamla channel as the invoice is issued, in the XML structure the tax authority publishes, and keep the transaction identifier the system returns against the invoice record.

Pourquoi: For an invoice produced by software the obligation is immediate and automatic: no batching to the end of the day, no operator pressing a button. Keeping the transaction identifier against the invoice is what turns the claim that it was reported into a fact somebody can check, which is exactly what nobody can produce when the question arrives eighteen months later.

EntréeIssued szamlaReporting credentialsRésultatInvoice data transmittedTransaction identifier
3

Put a clock on every invoice written by hand

Échéances

For an invoice written out of a numbered book, open a deadline the day it is issued and give it an owner. Four calendar days is the normal window, and one calendar day where the tax on the invoice reaches 500 000 forint, so the amount decides which clock you are on.

Pourquoi: The short window is the one that catches people out, because the invoice large enough to trigger it is exactly the one raised in a hurry to unblock a payment. Nothing on the paper says which deadline applies and nobody in the office knows the invoice exists yet, so the clock has to be started by whoever wrote it rather than by whoever files it.

EntréeHandwritten invoice from siteTax amount on itRésultatReporting deadline setOwner for the deadline
4

Read what came back, not just that it went

Validation

Check the processing result for every submission. Clear the technical errors and resend, and record the warnings rather than closing them, because a warning is a report that landed with something wrong inside it.

Pourquoi: A submission that was accepted for transmission and then rejected in processing is an invoice that has not been reported at all, and nothing about it looks different from the sending side. This is the failure that accumulates silently for a quarter and is then discovered as a set rather than as an incident.

EntréeReporting responseInvoice as reportedRésultatErrors cleared and resentWarnings recorded
5

Reconcile issued against reported

Rapprochement des événements

Match the invoices the project believes it raised against the invoices that carry a transaction identifier, and look at both sides of the difference: an invoice with no report, and a report with no invoice on the project.

Pourquoi: On a construction account the gap is almost never a system fault, it is an invoice raised outside the normal route: from site, from a different company in the group, or against a project code nobody uses any more. Reconciling by count rather than by document is how a firm satisfies itself that everything is reported while one invoice a month is not.

EntréeInvoices the project raisedInvoices reportedRésultatMatched setUnreported invoices found
6

Keep the proof with the project, not with the ledger

Documents

File the invoice, its transaction receipt and the teljesitesigazolas it answers together on the project, so the three travel as one record rather than living in three systems that agree only when somebody checks.

Pourquoi: Questions about an invoice arrive on the project long before they arrive in the accounts: a client disputes a period, a subcontractor claims a payment, a final account is being settled. Whoever answers is on the site side of the business, and giving them the proof of report in the same place as the invoice is the difference between an answer and a request forwarded to somebody on holiday.

EntréeReported invoice setTransaction receiptsRésultatInvoice pack with proof of reportAudit trail on the project
Modules

Modules de ce playbook

6 / 190 modules de la plateforme

Le marché pour lequel ce cas est écrit

Hongrie

Tout dans ce cas suit la façon dont les travaux sont métrés, chiffrés et payés sur ce marché. Les formulaires, la décomposition des coûts et les règles de paiement sont ceux qui y sont utilisés, pas une version générique.

Normes qu’il suit

  • Kbt.
  • TSZSZ

Vous n’avez rien de tout cela à paramétrer à la main. Au premier démarrage, la plateforme demande sur quel marché vous travaillez. Choisissez celui-ci et elle règle la langue de l’interface, charge la base de coûts correspondante, enregistre la classification des coûts et ajoute un projet d’exemple que vous pouvez ouvrir tout de suite.

Les contrôles propres à ce marché sont eux aussi fournis avec la plateforme. Une fois activés, un devis auquel il manque quelque chose que le marché attend est signalé pendant que vous y travaillez, et non après l’envoi de l’offre.

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