Description
Responsibilities:
Accurately capture all stock transactions (receipts, counting, transfer, and reconciliations) in the system.
Drive beginning-of-day preparations.
Ensure all representatives are ready for trucking out.
Promptly allocate stocks to all sales locations.
Print daily stock reports and reconcile them with relevant stakeholders (Distributor, warehouse manager, STE/STC, etc.).
Maintain daily contact with GTM back office on stock variances, providing reasons, and following up to ensure closure of all open cases.
Individually enter all walk-in customers' transactions into the system.
Take responsibility for end-of-day stock reconciliation for all sales representatives.
Maintain and monitor all GTM assets, ensuring they are in good working condition and properly accounted for.
Attend and contribute to daily review meetings to resolve issues and communicate new developments.