



We offer a wide range of services under “Warehouse Management” with the objective of managing and controlling everything
around and within your warehouse Nothing More, Nothing Less.
Customised RFID Solutions can be designed for inventory and fixed asset tracking
Automatic alert for low inventory or over stocking
Realtime access to current inventory levels and movements
Automates tracking & Reconciliation process for stock and fixed assets
Customised RFID Solutions can be designed for inventory and fixed asset tracking
Automatic alert for low inventory or over stocking
Realtime access to current inventory levels and movements
Automates tracking & Reconciliation process for stock and fixed assets
Physical Verification using Barcode Reader

In presence of warehouse staff, Audit team starts scanning of stock rack-wise/box-wise. Further, following points are considered to ensure accuracy of data captured
- No barcode is scanned twice at the time of scanning.
- All defective/used items are scanned.
- Manual barcode data is captured in stock count.
- Single barcode for multipieces (Set) is checked (basis quantity mentioned on label).
Data Extraction From System

Before initiating physical verification, audit team extracts/validate following data at warehouse:
- Confirmation/acknowledgement of latest three transfers from respective warehouse.
- Bills held in system.
- Package made at warehouse but delivery/ transfer out is pending in system.
- Returned pieces approval and confirmation.
- Stock /Inventory report as on date.
Preparation of Gap Report

Audit team prepares the gap report by analyzing scanned stock with as on date system inventory report . Further, following points are considered:
- Stock adjustment for pieces sold during audit
- Verification of manual bills
- Set off in case of size mismatch by checking all pieces of respective design/product.
- Audit observation is discussed and sign off /remarks at warehouse level.
Consolidation & SubmissionCHEDULE

Stock audit teams share signed off report with HO consolidation team for data compilation.
Observation are reconfirmedfrom department head.
Team reviews warehouse wise shrinkage, excess, set off cases, loan out, wrong billing, wrong barcode affixed, manual billing, alterations, transferred out, exchanges cases, etc,
Consolidated report is shared with finance and IT team for review/adjustment.
AUDIT SCHEDULE

Warehouse wise audit scheduleis prepared basis sales period and availability of ground staff.
Audit schedule is shared forsignoff. Incase any changesare required, schedule is amended. Audit schedule is tracked internally and basis that warehouses are informed accordingly