SOP Templates > Insulation > Finance & Accounting > Subcontractor Billing Review

Subcontractor Billing Review for Insulation

The Subcontractor Billing Review workflow provides insulation contractors with a reliable process for evaluating subcontractor invoices. It includes reviewing work completion, confirming lien waivers, reconciling charges, and approving payments. Managers track budgets and enforce financial control. By following this workflow, insulation companies reduce disputes, protect profitability, and improve efficiency. Clients benefit from smoother projects supported by trusted partners. Teams gain accountability with documented approvals. With this workflow in place, insulation contractors can strengthen professionalism, improve financial oversight, and deliver projects more reliably while reinforcing subcontractor confidence.

Receive subcontractor pay application or invoice for current billing period

Confirm billing period dates match project schedule and contract terms

Review scope of work billed against actual progress in the field

Walk the site or consult field supervisor to verify completion

Check billing against subcontractor agreement or schedule of values

Ensure change orders are approved and included if applicable

Confirm retainage is correctly applied based on contract

Verify lien waivers are included from subcontractor and lower-tier vendors

Review for math accuracy and supporting documentation (photos, timesheets, etc.)

Route pay app to project manager or leadership for approval

Record approved amount in project accounting system

Schedule payment based on payment terms and cash flow

Notify subcontractor of approval status or request for revisions

File pay app, approvals, and backup documentation in job records

Receive subcontractor pay application or invoice for current billing period

Confirm billing period dates match project schedule and contract terms

Review scope of work billed against actual progress in the field

Walk the site or consult field supervisor to verify completion

Check billing against subcontractor agreement or schedule of values

Ensure change orders are approved and included if applicable

Confirm retainage is correctly applied based on contract

Verify lien waivers are included from subcontractor and lower-tier vendors

Review for math accuracy and supporting documentation (photos, timesheets, etc.)

Route pay app to project manager or leadership for approval

Record approved amount in project accounting system

Schedule payment based on payment terms and cash flow

Notify subcontractor of approval status or request for revisions

File pay app, approvals, and backup documentation in job records