Start with a defined trigger
An employee submits an expense claim for administrative review.
Expense claim readiness check
This is a proposed workflow pattern. We confirm data access, permissions, integration options and review ownership with your team before implementation.
Protect employee information and distinguish unclear evidence from policy violation. Confirm currencies and transaction dates.
An employee submits an expense claim for administrative review.
Collect the permitted receipt images, claim fields, applicable policy version and required approval information.
Extract supporting details, flag missing evidence and explain potential policy questions with the relevant reference.
An authorized reviewer verifies facts and decides reimbursement or exceptions. AI flags are not automatic rejections.
Return approved claims to the established reimbursement process and record clarification requests against the claim.
Measure unnecessary flags, missing-document detection, review time and repeated employee clarification.
Keep the input, relevant context, review decision and final result connected. When a reviewer corrects something, use that evidence to improve the instructions or integration, then validate the change against representative cases.
The workflow stays centered on your business. The engagement determines who learns, implements and operates it.
Learn through courses, practical training and workshops. Get feedback as you apply the lessons to your own project.
Explore courses and workshops ↗Get everything in DIY, three months of workshops, weekly team sessions and direct implementation coaching.
Explore guided implementation ↗Include all the learning and guidance, with ownership of agreed operations and major implementation decisions.
Explore managed delivery ↗Prepare customer-specific payment follow-ups using verified balances, dispute history and account-owner review.
Explore this solution ↗Prepare payment-matching evidence for accountants when remittance details do not clearly identify the invoice.
Explore this solution ↗Prepare supplier invoices for review with source-linked extraction, duplicate checks and a clear accounting approval boundary.
Explore this solution ↗Looking for a course, help with a difficult problem, or someone to build a solution? Tell us where you are and what you'd like to do next.