Update month-end inventory rows from branch forms now

Your branch inventory forms leave the master workbook stale and cause stock-count errors. It keeps the central inventory current so coordinators can finish month-end checks same day.

Update month-end inventory rows from branch forms now

Overview

When branch inventory forms don't reach the central workbook, coordinators scramble at month-end and reconciliation drags on. This workflow writes each submission into the correct workbook row so operations can close month-end checks the same day.

Update month-end inventory rows from branch forms now