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Account records are reviewed for reimbursement opportunities that match the agreed scope and available evidence.
Each issue is organized with dates, quantities, transaction references, and supporting records before submission.
Submitted cases, responses, approved amounts, and unresolved differences are tracked in one clear working record.
We confirm the account period, discrepancy categories, available records, and review priorities.
Potential cases are checked against transaction details, quantities, dates, and the supporting evidence available.
Validated issues are documented, submitted through the approved process, and monitored for responses or requests.
Approved amounts, denied cases, open questions, and unresolved differences are recorded and reviewed with your team.
| Review Area | Ad Hoc Handling | Sell Insights Process | Practical Result |
|---|---|---|---|
| Opportunity Review | Issues are noticed only when someone finds them manually | Account records are reviewed against defined discrepancy categories and periods | More consistent issue detection |
| Evidence | Screenshots and transaction details are gathered after a case stalls | Supporting records are organized before submission | Stronger case preparation |
| Prioritization | All cases receive the same attention regardless of value or urgency | Cases are ranked by evidence quality, value, deadlines, and account impact | Better use of team time |
| Tracking | Case numbers and responses live across emails and spreadsheets | Status, response, next action, and owner are maintained in one log | Clearer follow-through |
| Reconciliation | Approved amounts are not matched back to the original issue | Recovered amounts are linked to cases and reviewed against records | Cleaner financial visibility |
| Open Issues | Denied or delayed cases may disappear from attention | Unresolved items are documented with the reason and next decision | Fewer forgotten cases |
| Final Result | A collection of individual case attempts | A repeatable reimbursement review and reconciliation system | More controlled account recovery |
Potential issues are organized by category, evidence, account period, value, and required follow-up.
Your team can see what was reviewed, what was submitted, what is waiting, and what needs action next.
Approved reimbursements and unresolved differences are connected back to the original case and supporting records.
Cases are prepared from available records instead of assumptions or incomplete notes.
Review time focuses on issues with stronger evidence, account impact, and practical recovery value.
Each case has a status, next action, owner, and documented outcome.
Reimbursement findings are connected to inventory, operations, profitability, and recurring process gaps.
Recovery activity is measured against cases reviewed, amounts identified, outcomes, and unresolved items.
Dates, quantities, charges, transaction references, and responses are checked carefully.
The review scope follows the account history, records, priorities, and internal capacity.
Documentation, tracking, communication, and reconciliation follow a consistent process.
Potential discrepancies are reviewed only when a large issue appears or someone has spare time.
Transaction records, shipment details, adjustment notes, and responses live in different files.
The team cannot quickly see what is pending, denied, resolved, or waiting for more information.
Approved reimbursements are received, but the original issue and financial impact are not clearly documented.
Premium Pet Nutrition Brand
Automotive Accessories Brand
Sustainable Office Supplies Brand