Product flow defined, walkthrough pending: the current product supports clean Return all gear, while item-level discrepancies and reconciliation still await their client-facing surfaces.
Before you start
- Availability
- Pending implementation of item-level return outcomes and reconciliation
- Act as
- The trip's guide and an Operations user with reconciliation access
- Trip
- A CIS with at least one daily gear item in Checked out status
- Starting state
- One item is damaged, lost, replaced, not issued, or otherwise different from the expected return
- Evidence
- The guide knows the field facts and can add notes, a client, or photos when available
Run the scenario
- 1GuidePlanned · Trailhead Mobile · CIS gear return
Mark the affected item with its actual return outcome and add the known field context.
Expected evidence
The discrepancy shows the item, issue type, notes, and linked client when known without showing a charge.
- 2GuidePlanned · Trailhead Mobile · Gear return
Submit the return with the item discrepancy.
Expected evidence
The issue becomes pending reconciliation and no guide or client charge is created.
- 3OperationsPlanned · Trailhead · Gear · Reconciliation
Open the discrepancy, review the evidence, and choose client, guide, or operational responsibility.
Expected evidence
The selected path stays attached to the CIS and records operations as the decision-maker.
- 4GuidePlanned · Trailhead · Guide responsibility confirmation
If guide responsibility is proposed, review and explicitly confirm it.
Expected evidence
A guide-account charge exists only after confirmation; an unconfirmed proposal remains open.
- 5AccountsPlanned journey · Trailhead · Accounts
Review Accounts only after the responsibility path is completed.
Expected evidence
Accounts shows only a confirmed guide deduction, approved write-off, or other confirmed financial movement—not the raw issue report.
Scenario completed
Operations has resolved responsibility and only confirmed financial outcomes reach Accounts.
- Return status
- Expected back→Discrepancy reported
- Responsibility
- Unresolved→Client follow-up
- Responsibility
- Proposed for guide→Guide confirmed
- Responsibility
- Unresolved→Operational loss
If it does not match
- If item-level issue choices are unavailable, do not complete a clean return; keep the physical discrepancy open for operations.
- If a charge appears immediately after the guide reports the issue, stop: the report must reach reconciliation before any responsibility decision.
- If the guide-responsibility charge exists without confirmation, leave the outcome unresolved and correct the confirmation step.
- If Accounts shows the raw issue, confirm that only approved financial outcomes are being sent beyond reconciliation.