Inventory Analyst
CurrentDaily Cycle Counts – Calculation of Product Classes for all Branches US and Canada to reach specific tracked metrics including Year to Date Completion Percentage Value Accuracy Quantity Accuracy Line Accuracy Shrink Vs Sales Reporting these Metrics to upper management, regional management, External Audit and Internal Audit Setting up branches for Commodity counts including Tools, Wire Mesh, Rebar (Both Fabrication and Non-Fabrication), Time Sensitive material Setting up Full Physical Inventories for Branches both Retail and Rental Setting up Cycle Counts for Branches regarding Product Line to find offsets on material Setting up “Special” cycle counts for certain items at the request of specific branch management. Pulling Pre and Post trial balances for branches for Physical Inventories and Audit Requests Pulling Cycle Count accuracy reports for audit purposes or lagging cycle count metric progress investigations Support branches onsite for Physical Inventories, investigations, and business acquisitions Daily Stock Adjustment investigation and reporting Aging Open Cycle Counts Accounts Payable Investigations regarding Miscodes Cost Adjustments and adjustment Reclasses Warehouse Transfers Purchase Order Transactions (Incorrect Freight, Price Cost Incorrect capitalization of freight affecting landed cost of goods Pulling and tracking of sales of Expired Materials for US and Canada branches to report to the finance team to remove margin hits to the branch and sales person P&L investigations in regard to Shrink General Ledger Monitoringo Assisting in Build out of and Reporting in Power BI for the US and Canada of reports and data vetting of Cycle Count Metrics Report Suite reporting to all levels of management in the business including internal and external audit Warehouse transfers Reporting of Product Class across multiple reports Complete Unavailable Sub Inventory Reporting