Contract Management
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Below you’ll find two visualizations of the same core task — checking that a supplier is compliant with a contract and that invoices match the agreed terms. The first shows how it’s done manually. The second shows how the same process runs automatically using Intric Plans.
Before Intric: Manual Contract Review
Section titled “Before Intric: Manual Contract Review”Step 1 — Staff retrieves the contract
Section titled “Step 1 — Staff retrieves the contract”A staff member opens the contract archive and locates the relevant supplier agreement.
What happens:
- Staff searches through the archive (PDFs, a shared drive, or a document system) to find the correct contract.
- They identify the clauses relevant to invoicing — pricing, service levels, payment terms, renewal conditions.
Challenge: Contracts are often 50+ pages. Finding the right clause takes significant time.
Step 2 — Staff reviews the contract in their Office Suite
Section titled “Step 2 — Staff reviews the contract in their Office Suite”With the contract open in Word or a PDF viewer, the staff member reads through the relevant sections.
What happens:
- They highlight or note key figures: agreed price per unit, SLA thresholds, discount structures.
- They may copy relevant clauses into a comparison spreadsheet to use as a reference.
Challenge: This is purely manual and relies on the staff member’s attention to detail. It’s easy to miss a clause buried on page 38 — and there’s no system checking their work.
Step 3 — Staff opens the invoice system
Section titled “Step 3 — Staff opens the invoice system”The staff member switches over to the finance or invoice system to pull the supplier’s latest invoices.
What happens:
- They log into the invoice system and filter by supplier and time period.
- They export or download the invoices for review.
Challenge: Different systems, different formats — exporting and organising the invoices is its own task before any comparison work begins.
Step 4 — Invoices pulled into staff’s workspace
Section titled “Step 4 — Invoices pulled into staff’s workspace”The exported invoices are now in hand — typically downloaded as PDFs or a spreadsheet export.
What happens:
- Staff opens the invoice files alongside the contract notes they made in Step 2.
- They’re now working across multiple open documents or browser tabs.
Challenge: Working across multiple sources simultaneously increases the risk of mixing up figures or losing track of which invoice has been checked.
Step 5 — Staff manually compares invoices to the contract
Section titled “Step 5 — Staff manually compares invoices to the contract”This is the core compliance check — done entirely by hand in the Office Suite.
What happens:
- The staff member goes line by line through each invoice, comparing amounts, descriptions, and service levels against the contract clauses they noted earlier.
- Any discrepancy (overcharge, incorrect service level, wrong unit price) has to be spotted manually.
Challenge: This is time-consuming and error-prone. Small discrepancies — a decimal, a rounding difference — are easily missed. The more invoices, the higher the risk of oversight.
Step 6 — Staff documents their findings
Section titled “Step 6 — Staff documents their findings”After the comparison, the staff member writes up what they found in their Office Suite.
What happens:
- Compliant invoices are noted and approved.
- Discrepancies are recorded in a spreadsheet or Word document for follow-up.
Challenge: Documentation is manual and inconsistent. Different staff members may record findings differently, making it hard to track patterns over time.
Step 7 — Findings reported to management
Section titled “Step 7 — Findings reported to management”The completed review is sent from the Office Suite to a manager or finance lead for sign-off or escalation.
What happens:
- Staff emails their findings or shares a document.
- Management decides whether to raise a dispute, approve payment, or put the supplier on review.
Challenge: By the time this report lands, the manual review may have taken several hours or spread across multiple days — for a single supplier’s invoices.
After Intric: Automated Weekly Compliance Check
Section titled “After Intric: Automated Weekly Compliance Check”Using a scheduled Plan in Intric, the same compliance monitoring runs automatically every week — without any manual work. The Plan connects to the contract knowledge base, retrieves the latest invoices from the integrated supplier system, compares them, and delivers a compliance summary directly to the responsible staff member.
Step 1 — Schedule triggers the Plan automatically
Section titled “Step 1 — Schedule triggers the Plan automatically”Every Monday morning (or any configured interval), Intric’s scheduler fires the Plan without any human action required.
What happens:
- The Plan wakes up and begins executing its steps in sequence.
- No staff member needs to initiate, remember, or log in.
How it’s configured: In the Plan settings, a weekly schedule is set. The Plan is scoped to the assistant responsible for contract monitoring.
Step 2 — Plan fetches the supplier contract from the knowledge base
Section titled “Step 2 — Plan fetches the supplier contract from the knowledge base”The Plan’s first step queries the knowledge base where the supplier’s contract is stored.
What happens:
- The AI retrieves the full contract document.
- It extracts the relevant compliance criteria: agreed unit prices, service level thresholds, payment terms, and any discount or penalty clauses.
How it’s configured: The assistant has the contract archive connected as a knowledge base. The step uses an analyze action type to extract structured compliance criteria from the contract.
Step 3 — Contract data is available to the Plan
Section titled “Step 3 — Contract data is available to the Plan”The extracted contract terms are now held in the Plan’s context and ready for comparison.
What happens:
- Key terms are structured: “Unit price = X”, “SLA = Y%”, “Late payment penalty = Z”.
- This structured output becomes the baseline for the next step.
Step 4 — Plan queries the invoice system for the latest week’s invoices
Section titled “Step 4 — Plan queries the invoice system for the latest week’s invoices”The Plan’s next step calls the integrated invoice system and pulls all invoices from this supplier for the past 7 days.
What happens:
- The Plan sends a query to the connected supplier invoice system (via MCP or OAuth integration).
- All invoices matching the supplier and date range are retrieved.
How it’s configured: The assistant has the invoice system connected as an integration tool. The step uses a search action type to retrieve invoices by supplier and date range.
Step 5 — Invoice data is returned to the Plan
Section titled “Step 5 — Invoice data is returned to the Plan”The invoice data is now loaded alongside the contract terms — all within the same Plan execution.
What happens:
- The Plan now holds both the contract baseline and the actual invoices in context.
- It proceeds to the comparison step.
Step 6 — Plan compares invoices to contract and writes a compliance summary
Section titled “Step 6 — Plan compares invoices to contract and writes a compliance summary”The AI compares each invoice line against the extracted contract terms and produces a structured compliance report.
What happens:
- Each invoice is checked: Does the price match? Is the service level correct? Are there any discrepancies?
- Compliant invoices are confirmed. Discrepancies are flagged with the specific clause and the actual vs. agreed value.
- A clear, readable summary is written — formatted for the responsible staff member.
How it’s configured: The step uses a write action type with instructions to produce a compliance summary including a compliant/non-compliant verdict, a list of any discrepancies, and a recommended action.
Step 7 — Summary delivered to staff
Section titled “Step 7 — Summary delivered to staff”The completed compliance report is delivered directly to the staff member responsible for supplier management.
What happens:
- The staff member receives the summary — typically via their Intric assistant conversation or a connected notification channel.
- If everything is compliant, no action is needed.
- If there are discrepancies, the summary includes context and a suggested next step.
The shift: Staff go from spending hours on manual comparison to spending a few minutes reviewing a pre-prepared summary — acting only where something actually needs attention.
Before vs. After
Section titled “Before vs. After”| Task | Manual | Time spent | Intric | Time spent |
|---|---|---|---|---|
| Contract retrieval | Staff manually searches archive | ~20 min | Automated | — |
| Invoice collection | Staff logs into invoice system and exports | ~15 min | Automated | — |
| Compliance comparison | Line-by-line manual comparison, error-prone | ~90 min | Automated | — |
| Reporting | Staff writes findings and emails management | ~30 min | Automated | — |
| Read, analyze and take action on findings | Read, analyze and take action on findings | ~30 min | Read, analyze and take action on findings | ~30 min |
| Total time | Full process from start to finish | ~3 hrs 5 min | Staff time only | ~30 min |
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