JOB SUMMARY
This is a Finance position responsible for performing cycle counts compiling and maintaining records of quantity type and value of material equipment merchandise and/or supplies stocked in the establishment and/or items to be returned. Processing returned merchandise physically and systematically and returning items to stock. Audit outbound loads to ensure order picking accuracy. Researches root causes for count discrepancies. Performs quality checks and supports the product recall process.
RESPONSIBILITIES
Audit outbound loads for picking accuracy
Process returned merchandise and return to stock using stock picker or reach truck.
Ensure integrity of the physical count of the inhouse inventory via cycle counting and other duties assigned
Cycle counts the warehouse a minimum of four times a year including all pick and reserve slots for discrepancies and product/packaging integrity issues
Performs quality checks around date sensitive slowmoving and obsolete items via interaction with merchandising.
Performs recoup function.
Research causes of weight variances receiving/put away/letdown issues and damaged product in the slots from warehouse moves
Proactively checks FIFO (firstinfirstout) items for proper rotation
Verify reserves are properly recorded and verify the count of each reserve pallet
Verify the putaway and transfer process performed by the day and night personnel
Review standard management reports and research causes of inventory shrink
Coordinate will call orders when scheduled