Keep finance teams aligned with daily stock valuations
Keep finance teams aligned with daily stock valuations
Finance teams relying on a central stock sheet see inconsistent location valuations and reconciliation errors. Daily reports deliver location and global stock totals for reconciliation.
Overview
Late or inconsistent stock valuations create reconciliation headaches and planning blindspots for finance. Delivering daily per-location and global inventory totals ensures finance and operations reconcile with consistent metrics, removing manual grabs and letting teams report faster reconciliation cycles.
Notable Features
- Compute per-location inventory valuation
- Distribute daily location and global totals
- Alert finance to valuation anomalies