CT - 4952 Inventory Control II at Coghlin Companies Inc
Westborough, Massachusetts, United States -
Full Time


Start Date

Immediate

Expiry Date

27 Jun, 26

Salary

23.0

Posted On

29 Mar, 26

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Cycle Counts, Bin Audits, Discrepancy Reconciliation, Problem Solving, Material Handling, Inventory Adjustment Tracking, Non-Moving Inventory Identification, Reporting, Project Work

Industry

Description
DUTIES AND RESPONSIBILITIES * Conducts and directs cycle counts on a daily basis according to a prioritized product group calendar as directed by management. * Conduct bin audits on a daily basis in accordance with provided schedule of bin audits. * Investigate, identify, and reconcile the cycle count/bin audit discrepancies. * Suggest and implement potential solutions using problem solving methodologies to mitigate discrepancies from occurring again. * Maintain inventory areas by organizing and maintaining efficient material handling and storage. * Retain the cycle count records so that it can be reviewed by management. * Investigate and reconcile all inventory issues related to customer complaints, invoicing, planning, and purchasing. * Record and track all inventory adjustments to document why an adjustment occurred. * Identifies non-moving inventory in order to provide the information to the department that needs to provide disposition. * Compiling and report out of cycle count results on a daily/monthly basis. * Compiling and report out of bin audit results on a daily/monthly basis. * Work on multiple projects with multiple departments. * Other duties as assigned. Salary Range: $22-$23/hr  (Salary commensurate with experience) Columbia Tech is an Equal Opportunity Employer. Columbia Tech does not discriminate on the basis of race, religion, color, sex, gender identity, sexual orientation, age, non-disqualifying physical or mental disability, national origin, veteran status or any other basis covered by appropriate law. All employment is decided on the basis of qualifications, merit, and business needed.
Responsibilities
The role involves daily execution and direction of cycle counts and bin audits, requiring thorough investigation and reconciliation of any resulting inventory discrepancies. Responsibilities also include maintaining organized inventory areas and documenting all inventory adjustments for management review.
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