Sumarity
The Sumarity library

A workflow for every process. Checked before it's yours.

Standard workflows for judgement-heavy processes, in every industry. Each one is designed from standard practice, checked by the validator, and tested against an answer key before it's published. Start from one and make it yours.

100 workflows · 15 industries · 8 process families

100 workflows

Finance

Bank reconciliation

Which ledger entry a bank line is; why a line is unmatched

Proven by codeTested
Finance

Card and payment-processor settlement reconciliation

Which sales a payout covers; fee and chargeback lines

Proven by code
Finance

Cash application

Which open invoices a receipt pays; short-pays and deductions

Proven by code
Finance

AP invoice processing with two- and three-way match

Which PO and receipt an invoice is for; price and quantity differences

Proven by code
Finance

Duplicate and erroneous payment check

Whether two payments are the same obligation

Vetoed by code
Finance

Supplier bank-detail change verification

Whether a change request is genuine

Cross-checked
Finance

Expense claim audit

Whether each claim fits policy; receipt matches the claim

Proven by code
Finance

Intercompany reconciliation

Which entries are the two sides of one transaction

Proven by code
Finance

Balance sheet account reconciliation and certification

What explains each balance; whether support is enough

Proven by code
Finance

Manual journal entry review

Whether an entry is supported, authorised, unusual

Cross-checked
Finance

Accruals review

Whether an accrual is needed and its size is supported

Checked by the outcome
Finance

Prepayments and amortisation

Which invoices are prepaid; the period they cover

Proven by code
Finance

Fixed asset additions review

Capital or expense; asset class and life

Cross-checked
Finance

Variance (flux) analysis

Which movements need explaining; what explains each

Proven by code
Finance

Revenue contract review (IFRS 15 / ASC 606)

Performance obligations, variable consideration

Cross-checked
Finance

Customer deductions and short-pay disputes

Valid deduction (promotion, damage) or not

Proven by code
Finance

Collections and dunning

Which accounts to chase and how; dispute or delay

Checked by the outcome
Finance

Payroll reconciliation

Which payroll totals tie to GL and bank; why not

Proven by code
Accounting firms

UK VAT return for a small business (pub VAT)

Each document's VAT treatment; what's missing

Proven by codeTested
Accounting firms

Swiss VAT (MWST) return

Rate and method per line; input tax recoverable

Proven by code
Accounting firms

German VAT advance return (USt-Voranmeldung)

Treatment per line, reverse charge

Proven by code
Accounting firms

Bookkeeping review: categorising bank transactions

Account and tax code for each line

Vetoed by code
Accounting firms

Client document collection for year-end

What's missing, wrong period, unreadable

Proven by code
Accounting firms

Year-end accounts tie-out

Whether trial balance, schedules and statements agree

Proven by code
Accounting firms

Client onboarding: AML and engagement checks

Identity, beneficial owners, risk rating

Cross-checked
Accounting firms

Personal tax return preparation (UK self assessment)

Income kinds, reliefs that apply

Proven by code
Banking

Payment exceptions and investigations

Why a payment failed or is queried; the action

Proven by code
Banking

Card disputes and chargebacks

Network reason code; evidence enough to fight

Cross-checked
Banking

Nostro and vostro reconciliation

Which statement line matches which booking

Proven by code
Banking

Corporate KYC onboarding

Beneficial owners, documents complete, risk

Cross-checked
Banking

Periodic KYC review

What changed; whether risk changes

Cross-checked
Banking

Sanctions screening alert review

True match or false positive

Vetoed by code
Banking

AML transaction monitoring alert triage

Suspicious or explained

Checked by the outcome
Banking

Trade finance document examination (letters of credit)

Whether documents comply with the credit

Proven by code
Banking

Loan covenant compliance

Covenant figures from statements; breach or not

Proven by code
Banking

Mortgage application document verification

Income and documents consistent

Proven by code
Banking

Customer complaints handling (UK FCA)

Complaint category, redress due

Cross-checked
Asset management

Custody reconciliation

Each custody line's type; matches to the book

Proven by codeTested
Asset management

Custody break follow-up

Age, severity, NAV impact

Proven by code
Asset management

Cash and position reconciliation, multi-custodian

Matches across custodians and the PMS

Proven by code
Asset management

Management and performance fee check

Fee basis, rates, periods

Proven by code
Asset management

Corporate actions processing

Event type, entitlement, election

Proven by code
Asset management

NAV review and price exceptions

Whether a price move or stale price is explained

Vetoed by code
Asset management

Trade settlement fails

Why it failed; the fix

Cross-checked
Asset management

CLO trustee report tie-out

Each figure against the portfolio

Proven by code
Asset management

Investor subscriptions and redemptions

Documents complete, AML, amounts

Proven by code
Insurance

First notice of loss triage

Claim type, severity, fast track or adjuster

Cross-checked
Insurance

Claim coverage check against policy wording

Covered, excluded, limits

Cross-checked
Insurance

Delegated authority bordereaux reconciliation

Each risk and claim line against the binder

Proven by code
Insurance

Broker premium statement reconciliation

Which policies a statement covers

Proven by code
Insurance

Claims payment audit

Payment within reserve, authority, cover

Proven by code
Insurance

Subrogation and recovery identification

Whether a third party is liable

Checked by the outcome
Insurance

Commercial underwriting submission intake

Risk details complete; appetite

Cross-checked
Insurance

Claims fraud indicator review

Indicators present and explained

Checked by the outcome
Healthcare

Remittance posting and payer reconciliation (835s)

Which claims a remittance pays; adjustments

Proven by code
Healthcare

Claim denial management and appeals

Denial reason, appealable, evidence

Checked by the outcome
Healthcare

Prior authorisation

Criteria met from the record

Cross-checked
Healthcare

Medical coding audit

Codes supported by the notes

Cross-checked
Healthcare

Eligibility and benefits verification

Coverage active, benefits apply

Cross-checked
Healthcare

Provider credentialing

Licences, sanctions, documents current

Cross-checked
Healthcare

Charge capture reconciliation

Services delivered vs billed

Proven by code
Manufacturing

Purchase order confirmation check

Supplier's confirmation vs the PO: price, quantity, date

Proven by code
Manufacturing

Inventory count reconciliation

Why counts differ from the system

Proven by code
Manufacturing

Supplier onboarding and certificates

Documents valid, sanctions, bank details

Cross-checked
Manufacturing

Quality non-conformance triage

Defect category, severity, supplier

Cross-checked
Manufacturing

Warranty claim validation

In warranty, covered failure, parts

Proven by code
Manufacturing

Customs classification and declaration check

Tariff code, origin, value

Cross-checked
Manufacturing

EDI order exceptions

Why an order failed; the fix

Proven by code
Retail and hospitality

Daily takings reconciliation (tills, cards, cash, bank)

Which deposits cover which days and sites

Proven by code
Retail and hospitality

Delivery platform payout reconciliation

Orders, commissions, refunds in each payout

Proven by code
Retail and hospitality

Marketplace payout reconciliation (Amazon, Shopify)

Sales, fees, returns, reserves in each payout

Proven by code
Retail and hospitality

Supplier rebates and promotional allowances

Rebate earned under which agreement

Proven by code
Retail and hospitality

Returns and refund review

Policy met; abuse indicators

Vetoed by code
Retail and hospitality

Gift card and voucher liability

Which balances are live, expired, redeemed

Proven by code
Logistics

Freight invoice audit

Charges vs rate card and shipment

Proven by code
Logistics

Proof of delivery against invoice

Delivered as invoiced

Proven by code
Logistics

Carrier damage and loss claims

Liability, amount, evidence

Cross-checked
Logistics

Fuel card audit

Fill plausible for the vehicle and route

Vetoed by code
Energy

Meter-to-bill validation

Reading plausible; bill right

Vetoed by code
Energy

Energy trade confirmation matching

Our trade vs the counterparty's confirmation

Proven by code
Energy

Renewable certificate reconciliation (REGOs, GOs)

Certificates vs generation and sales

Proven by code
Energy

Field work order close-out

Work done as recorded; billable

Cross-checked
Telecoms

Interconnect and roaming settlement reconciliation

Partner invoice vs our traffic records

Proven by code
Telecoms

Revenue assurance: usage vs billed

Why usage wasn't billed

Proven by code
Telecoms

Billing dispute resolution

Valid dispute; credit due

Cross-checked
Real estate

Lease abstraction

Terms from the lease: rent, breaks, reviews

Proven by code
Real estate

Rent roll to bank reconciliation

Which receipts pay which tenant's rent

Proven by code
Real estate

Service charge (CAM) reconciliation

Costs recoverable and apportioned

Proven by code
Real estate

Tenant referencing

Income and references sufficient

Cross-checked
Public sector

Grant application eligibility

Criteria met; documents complete

Cross-checked
Public sector

Grant expenditure claim verification

Costs eligible and evidenced

Proven by code
Public sector

Benefit claim verification

Evidence supports eligibility

Cross-checked
Public sector

Supplier invoice compliance (public procurement)

Invoice matches the contract and framework

Proven by code
Legal

Contract review against the playbook

Clauses present, deviations, risk

Proven by code
Legal

Regulatory transaction reporting reconciliation (EMIR, MiFIR)

Reported vs booked trades; fields right

Proven by code
Legal

Legal invoice review against billing guidelines

Fees and expenses allowed

Proven by code
HR and payroll

Payroll input validation

Changes explained (hours, starters, leavers, rates)

Vetoed by code
HR and payroll

Timesheets vs rota vs payroll

Hours worked, paid, scheduled agree

Proven by code
HR and payroll

Right-to-work and onboarding checks

Documents valid and complete

Cross-checked
HR and payroll

Benefits enrolment reconciliation

Insurer list vs payroll deductions

Proven by code

Don't see your process? Describe it.

Sumarity designs a workflow from a paragraph written by the person who runs the process today.