SOP Templates > Landscaping > Subcontractor Coordination > Subcontractor Payment & Compliance Review

Subcontractor Payment & Compliance Review for Landscaping

The Subcontractor Payment & Compliance Review workflow supports landscaping contractors by tying financial disbursements directly to compliance checks. It includes verifying invoices against completed phases, collecting lien releases, and ensuring insurance and licensing are up to date. Managers confirm compliance before authorizing payments, reducing risks and improving predictability. Subcontractors value dependable payment practices, while clients benefit from steady project progress without disputes. This workflow improves company credibility, safeguards profitability, and ensures accountability through documentation. With it in place, landscaping contractors can strengthen professionalism, improve scheduling, and deliver projects more reliably while maintaining both financial and legal oversight.

Receive subcontractor invoice or pay application for current billing period

Confirm invoice matches contract terms, billing cycle, and schedule of values

Verify scope of work billed aligns with actual progress in the field

Check that all approved change orders are reflected and documented

Apply retainage according to subcontract agreement

Review for math accuracy, duplicates, or previously paid items

Confirm receipt of up-to-date insurance certificates (general liability, workers’ comp, etc.)

Collect required lien waivers (conditional or unconditional)

Ensure any required compliance documents are current (safety forms, licenses, certified payroll, etc.)

Confirm subcontractor has submitted all required submittals and RFIs

Review and approve with project manager or financial controller

Log approved payment in accounting system and schedule for release

Notify subcontractor of payment approval or any corrections needed

File invoice, compliance documents, and approvals in subcontractor records

Receive subcontractor invoice or pay application for current billing period

Confirm invoice matches contract terms, billing cycle, and schedule of values

Verify scope of work billed aligns with actual progress in the field

Check that all approved change orders are reflected and documented

Apply retainage according to subcontract agreement

Review for math accuracy, duplicates, or previously paid items

Confirm receipt of up-to-date insurance certificates (general liability, workers’ comp, etc.)

Collect required lien waivers (conditional or unconditional)

Ensure any required compliance documents are current (safety forms, licenses, certified payroll, etc.)

Confirm subcontractor has submitted all required submittals and RFIs

Review and approve with project manager or financial controller

Log approved payment in accounting system and schedule for release

Notify subcontractor of payment approval or any corrections needed

File invoice, compliance documents, and approvals in subcontractor records