Cycle count reconciliation

Count differences investigated and the record corrected

IndustrialsOperationsFinanceSAP, Snowflake, MS Teams
How a run goes
The steps this agent takes, in order, and what each one leaves behind.
Reads the counts and the inventory transactions

Compares each cycle count against the inventory record and lists the differences by location and value

Finds the differences and traces the causes

Investigates the causes from the transaction history: unposted receipts, wrong bins, scrap not recorded

Drafts the adjustments and the accuracy report

Drafts the adjustments for approval and reports count accuracy by area

Works inSAP, Snowflake, MS Teams

What it does

  • Compares each cycle count against the inventory record and lists the differences by location and value
  • Investigates the causes from the transaction history: unposted receipts, wrong bins, scrap not recorded
  • Drafts the adjustments for approval and reports count accuracy by area

Connects to

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