Daily Counts
Daily counts will verify that the physical product matches what’s in the system. SEKO does daily cycle counts on SKUs/Locations, throughout the year, all locations will be checked at least twice a year.
Step 1: Retrieve Daily Count Schedule
A SEKO inventory specialist will retrieve a daily count schedule and generate daily cycle counts. The count schedule may vary by client SOP.
Step 2: Preform Count
The SEKO inventory specialist will perform a count on the selected locations.
The specialist verifies the SKU and quantity matches what is in the WMS.
Recounts will be performed on locations if the actual quantity is more or less than expected. If the recount is more or less than expected, the specialist updates the quantity in the WMS.
Step 3: Research Variance
Once all counts are completed for the day, the SEKO inventory specialist will review the count results.
If the count results are not accurate and a variance is identified, the SEKO inventory specialist will try to resolve the variance.
If the variance is resolved (for example, the specialist found the product and returned it to the proper location), a recount is preformed to show the variance has been resolved.
If the variance is not resolved the specialist adjust the inventory in the WMS.
Step 4: Adjust Inventory
The SEKO inventory specialist sends a notification to the client for any adjustments preformed.
Full Physical Counts
A full physical inventory is the act of verifying and reconciling every location at the same time.
Step 1: Generate Full Planned Counts
A SEKO inventory specialist will process a full count in the WMS.
Step 2: Preform Physical Count
Preform a physical count of every location in the warehouse.
If a different item is found in the location, set the item aside.
Recounts will be performed on locations if the actual quantity is more or less than expected. If a recount is required, preform the recount, and update the WMS if necessary.
Step 3: Research Variance
Once all counts are completed for the day, the SEKO inventory specialist will review the count results.
If the count results are not accurate and a variance is identified, the SEKO inventory specialist will try to resolve the variance.
If the variance is resolved (for example, the specialist found the product and returned it to the proper location), a recount is preformed to show the variance has been resolved.
If the variance is not resolved the specialist adjust the inventory in the WMS.
Step 4: Adjust Inventory
The SEKO inventory specialist sends a notification to the client for any adjustments preformed.