Halaxy Workflow Series · Stage 6

Billing in Halaxy: Turning the Service Delivered Into an Invoice

Billing is where the service recorded during a consultation becomes a financial transaction. The invoice needs to show what was delivered, who delivered it, what fee applies and who is responsible for paying.

You are here: the appointment has happened and the consultation records what was delivered. Billing now creates the amount owing. Payment, Xero and bank reconciliation come afterwards.

Your position in the journey

Where billing sits in the Halaxy workflow

Appointment Consultation Billing · You are here Payment Xero Reconciliation

Billing converts the recorded service into the invoice that starts the financial side of the client journey. It is not an isolated administration task. Every decision made here can affect payment allocation, accounts receivable, the information sent to Xero and the eventual bank reconciliation.

The workflow test: can someone follow the transaction from the appointment and consultation to the invoice, payer, payment and accounting record without having to guess?

The starting record

What the invoice needs to explain

Once the service has been recorded, Halaxy can create an invoice using the relevant billing information. The invoice should be an accurate reflection of the service—not simply a convenient amount entered at reception.

Service

What was delivered?

The invoice should use the correct service, consultation or billing item and any required service code or description.

Practitioner

Who delivered it?

The practitioner, provider information and practice location may affect the fee, claim pathway and payment destination.

Price

What should be charged?

The fee should agree with the approved price, schedule, service agreement or practice policy that applies to the transaction.

Payer

Who owes the money?

The person receiving the service may not be the person or organisation financially responsible for the invoice.

Evidence

What supports the claim?

References, approvals, service codes, claim details, provider numbers or purchase orders may be required before billing can proceed.

Destination

Where will it go next?

The billing record needs to support the payment workflow and the information that will later be sent into Xero.

Client is not always payer

Who is actually responsible for the invoice?

Healthcare billing becomes confusing when the service recipient, invoice contact, claimant and payer are treated as though they are always the same person. They may be different.

Billing arrangementWhat may happenWhat must be clear before invoicing
Private clientThe client receives the service and is responsible for the invoice.Correct client, fee, service, practitioner and payment terms.
Medicare-related serviceClaiming can depend on service eligibility, provider details, referrals and the applicable claiming method.Current claiming requirements and all required practitioner, referral and service information.
Private healthThe client may pay and claim later, or a supported claiming/payment process may be used.What the practice is charging, how the claim is processed and what balance remains payable by the client.
NDISThe payer can differ depending on whether the plan is self-managed, plan-managed or agency-managed.Management type, correct payer, service agreement, price and required claim information.
Insurer or employerA third party may pay for services received by the client.Approval, claim or case reference, authorised services, limits, contact and invoice requirements.
Government or statutory programProgram-specific service codes, provider information and supporting documents may apply.Current program rules, eligibility, payer details and claim pathway.
Do not guess the payer. If the funding arrangement is unclear, hold the billing query where staff can see it and obtain the missing information. Sending an invoice to the wrong party can create privacy issues, rejected claims, delayed payment and unreliable receivables.

Third-party billing

A client name is not enough

Third-party billing often needs information that would not appear on an ordinary private invoice. Before the invoice or claim is issued, the practice may need:

  • claim, participant, policy or case numbers;
  • case manager, plan manager or payer contact details;
  • written approval or a service agreement;
  • approved service dates, quantities or spending limits;
  • purchase order or funding references;
  • the correct billing and service codes;
  • practitioner or provider details;
  • the invoice submission method and destination; and
  • supporting notes, reports or documents where required.

The workflow should make missing information visible before the claim is sent. Reception should not have to reconstruct approval conditions after an invoice has already been rejected.

Billing-item design

Build billing items staff can use consistently

Billing items represent the services that generate invoices. They may be linked to consultation types so that the correct service and price can flow from the clinical workflow into billing.

A billing item may need to define:

  • a clear service name;
  • the standard fee;
  • the practitioner or discipline it applies to;
  • the relevant service or billing code;
  • the payer or funding context;
  • rebate or claim information where appropriate; and
  • the reporting category the practice needs later.

Names should help staff choose correctly

“Standard consult” may be clear in a one-practitioner clinic but meaningless in a multidisciplinary practice with several durations, funders and fee schedules. A useful name distinguishes the service without becoming a paragraph.

Initial Consultation

Define the duration, discipline, standard fee and payer context if different versions genuinely exist.

Review Consultation

Separate it only where it represents a real operational, pricing or reporting difference.

Assessment or Report

Use deliberate items for non-standard services rather than changing a consultation item differently each time.

One service should not have five accidental versions. Duplicate items can create inconsistent pricing, reporting noise and staff confusion. Retire or restrict old items carefully so historical invoices remain understandable.

Beyond ordinary consultations

Additional fees need deliberate treatment

Practices may bill cancellation fees, reports, letters, assessments, packages, programs, travel or other non-standard services. Each needs a consistent decision about:

  • when the fee is permitted under the practice agreement or funding arrangement;
  • who is responsible for paying it;
  • what description should appear on the invoice;
  • whether a claim or rebate is available;
  • which staff can approve or waive it;
  • how it is reported in Halaxy and Xero; and
  • what GST treatment applies, where relevant.

A fee being easy to add in software does not prove it is contractually permitted, claimable or coded correctly. The system should support the practice’s policy and professional advice—not invent them.

Billing controls

How to stop delivered services disappearing

One of the most expensive workflow gaps is a service that occurred but was never billed. The practice needs controls that compare what was scheduled, what was delivered and what was invoiced.

  1. Review completed consultations without invoices. Decide whether they are genuinely non-billable or waiting for information.
  2. Review cancelled and no-show appointments. Apply the practice policy consistently and document any waived fee.
  3. Keep billing queries visible. Missing approvals and payer details should sit in a controlled follow-up process.
  4. Review rejected claims. A rejected claim is not finished work and should not silently age as an unexplained debtor.
  5. Compare practitioner activity with billing. Unexpected gaps can identify unbilled work, incorrect status use or workflow training problems.
  6. Review old unpaid invoices. Determine whether each amount is collectible, incorrectly billed, paid but unapplied or awaiting action.

Downstream consequences

A billing error does not stay on the invoice

Poor billing can cause incorrect invoices, rejected claims, delayed payments, unbilled services, wrong payer balances and unreliable accounts receivable. Once the record syncs, it can also distort income and debtors in Xero.

Wrong service, fee or payer Incorrect invoice Payment problem Wrong Xero record Reconciliation difference

By the time the bookkeeper sees the difference in Xero, the original decision may have happened weeks earlier in Halaxy. That is why good Halaxy bookkeeping sometimes requires following the transaction back to the practice workflow.

Connected claiming and accounting

Where HICAPS Digital fits after billing

For supported HICAPS Digital claims, the Halaxy invoice is the starting point for the claim. The invoice needs the correct service, practitioner, payer and claim information before it can move successfully through the connected workflow.

Invoice in Halaxy Eligible HICAPS Digital claim Claim status and payment Halaxy payment record Xero and bank reconciliation

The HICAPS connection does not repair an incorrect invoice. A wrong payer, provider, service code or fee can become a rejected claim, delayed payment or Xero difference later in the process.

Continue the connected workflow: our HICAPS, Halaxy and Xero integration guide follows an eligible claim from the Halaxy invoice through payment and into Xero reconciliation.

Common problems

When Halaxy billing goes wrong

The wrong fee keeps appearing on invoices

Check the billing item, consultation link, practitioner or clinic-specific settings, fee schedule and whether staff are selecting an old duplicate item. Correct the source of the default before fixing invoices one by one.

We have several versions of the same billing item

Identify which items are genuinely different and which are accidental duplicates. Choose the approved item, update staff guidance and carefully retire unwanted options without making historical invoices impossible to understand.

The client received the service but somebody else should pay

Confirm the payer relationship, authority, billing contact, references and invoice requirements before issuing or redirecting the invoice. Do not simply replace the client name without checking the underlying arrangement.

We keep finding appointments that were never billed

Compare appointment and consultation statuses with invoices. Look for incomplete consultations, missing payer information, staff workarounds and services parked in an unresolved status without a follow-up owner.

Our accounts receivable never seems to match

Review whether all invoices sync, which status they use in Xero, whether payments are applied to the correct invoices and whether credits, write-offs or manual Xero changes have broken the relationship between systems.

The complete series

Continue through the Halaxy workflow

Open each card using its bunny. The orange card shows exactly where you are now.

1. Workflow Design

Start with the big picture and understand how the complete system fits together.

Back to front

Workflow Design

Start with the complete structure before trying to fix individual transactions or settings.

🥕 Workflow Design
Next Step

Understand the complete client journey through your practice.

2. Client Journey

Follow the client from first contact through the complete practice process.

Back to front

Client Journey

See how enquiry, matching, appointments, consultations, billing and payment connect.

🥕 Client Journey
Next Step

Record and manage the first enquiry from your potential client.

3. Client Enquiries in Halaxy

Identify what the client needs and which practitioner or service is appropriate.

Back to front

Client Enquiries in Halaxy

The enquiry stage helps determine whether the practice can help and where the client should go next.

🥕 Client Enquiries
Next Step

Move from enquiry into the practice calendar.

4. Appointments in Halaxy

Reserve the right time with the appropriate practitioner in the practice calendar.

Back to front

Appointments in Halaxy

Once suitability is established, the appointment reserves the time, location and booking.

🥕 Appointments in Halaxy
Next Step

Understand the service actually delivered during the appointment.

5. Consultations in Halaxy

Understand the service actually delivered during the appointment.

Back to front

Consultations in Halaxy

The consultation records the service actually delivered and supplies the information billing needs.

🥕 Consultations in Halaxy
Next Step

Follow the service as it becomes an invoice.

YOU ARE HERE

6. Billing in Halaxy

Follow the service as it becomes an invoice.

Back to frontYOU ARE HERE

Billing in Halaxy

Billing translates the service delivered into the amount the practice expects to receive. You are reading this guide now.

Next Step

Follow the invoice through payment and toward the accounting system.

🥕 Payment Workflow in Halaxy

7. Payment Workflow in Halaxy

Follow the invoice through payment and toward the accounting system.

Back to front

Payment Workflow in Halaxy

Identify the money, apply it correctly and follow the payment toward Xero.

🥕 Payment Workflow in Halaxy
Next Step

Understand what happens when the financial workflow reaches accounting.

8. Halaxy & Xero

Understand what happens when the financial workflow reaches accounting.

Back to front

Halaxy & Xero

Halaxy records what happened inside the practice. Xero records the accounting side of the financial story.

🥕 Halaxy Xero Integration
Next Step

Keep the books accurate and reconciled in Xero.

🥕 Halaxy Bookkeeping Support

Related financial guides

Follow billing into claims, payments and bookkeeping

HICAPS, Halaxy and Xero

Follow supported HICAPS Digital claims from the Halaxy invoice through payment and bank reconciliation.

🥕 Read the HICAPS workflow

Payment Workflow in Halaxy

See how money is identified, applied to an invoice, sent into Xero and matched to the bank.

🥕 Read the Payment Workflow

Halaxy and Xero Integration

Understand the wider accounting connection, including invoices, payments, mappings and sync behaviour.

🥕 Read the Integration Guide

Halaxy Bookkeeping

Get help when invoices, payments, receivables and Xero no longer tell the same financial story.

🥕 See Halaxy Bookkeeping Support

Frequently asked questions

Billing in Halaxy FAQs

What is billing in Halaxy?

Billing is the stage where the delivered service becomes an invoice. It connects the service, practitioner, fee, payer and any required claim information to the amount owing.

Does the client always have to be the person billed?

No. An insurer, employer, plan manager, funding body or another organisation may be responsible. Halaxy needs to distinguish the service recipient from the payer while maintaining the correct supporting information.

What is a billing item in Halaxy?

A billing item represents a service or charge used to create an invoice. It can include the service name, fee and other billing information needed by the practice.

Can too many billing items cause problems?

Yes. Accidental duplicates can lead to different fees for the same service, inconsistent staff choices and poor revenue reporting. Create separate items only for real operational differences.

How does third-party billing work in Halaxy?

The client can remain the service recipient while another party is identified as responsible for payment. The exact setup depends on the funding arrangement and the information the payer requires.

What happens after the invoice is created?

The payment must be received, identified and applied correctly. Relevant information can then flow to Xero, where it is compared with the bank activity and reconciled.

Why does billing structure matter to the bookkeeper?

The billing record affects receivables, income, payment allocation and the accounting information sent to Xero. A difference discovered in Xero may have begun with the service, fee or payer chosen in Halaxy.

Can My Great Bookkeeper help fix a messy Halaxy billing setup?

Yes. We can review the path from consultation and billing through payment and Xero, identify duplicate or inconsistent structures and help design controls that keep the records understandable.

Billing is upstream of bookkeeping

A billing error does not stay on the invoice

The wrong service, fee or payer can follow the transaction through payment, accounts receivable and into Xero. We help practices follow the financial story back to where it stopped making sense.

🥕 Continue to Payment Workflow 🥕 Talk to a Halaxy bookkeeper