To reconcile financial transactions for third party logistics operators to C&S warehouse transfers of product.
Prepare and distribute daily and week-ending reporting of their financial affects to shrink.
Reconcile third party to warehouse transfer transactions. Identify and resolve any inventory discrepancies via inter-departmental communications and/or checking systematic inventory adjustments for prior resolution.
Prepare daily and weekly reports on shrink affects caused by inventory discrepancies on third party to warehouse transfers.
- Prepare daily reconcilation reports and distribute.
Excellent attention to detail, good communication skills & Microsoft Excel experience.
High School diploma required.
C&S Wholesale Grocers - 11 months ago
C&S Wholesale Grocers is the lead supply chain company in the food industry today – and the largest wholesale grocery supply...