reconcile stock counts to item master with quantity differences by Project Alphareconcile stock counts to item master with quantity differences by Project Alpha
reconcile stock counts to item master with quantity differencesProject Alpha
Cover image for reconcile stock counts to item master with quantity differences
I will reconcile one stock-count file to one item master using supplied SKU and unit rules and return separate matched, missing, extra, quantity-difference and exception tables.
Deliverables: Matched, master-only, count-only, quantity-difference and exception tables with source-row references.
Scope: One count file plus one item master; up to 10,000 distinct SKUs; supplied exact keys and unit rules.
Exclusions: No demand forecast, purchase decision, automatic ordering, source-system changes or guessed unit conversion.
The gallery uses self-authored synthetic data and is not customer work or a guaranteed outcome.
3 days after complete in-scope inputs; one agreed-rule correction.
The seller performs the agreed work and returns the files. New inputs require a new seller run; this is not an automatically updating application.
Starting at$60
Duration3 days
Tags
Microsoft Excel
Python
Data Analyst
Service provided by
Project Alpha Osaka, Japan
reconcile stock counts to item master with quantity differencesProject Alpha
Starting at$60
Duration3 days
Tags
Microsoft Excel
Python
Data Analyst
Cover image for reconcile stock counts to item master with quantity differences
I will reconcile one stock-count file to one item master using supplied SKU and unit rules and return separate matched, missing, extra, quantity-difference and exception tables.
Deliverables: Matched, master-only, count-only, quantity-difference and exception tables with source-row references.
Scope: One count file plus one item master; up to 10,000 distinct SKUs; supplied exact keys and unit rules.
Exclusions: No demand forecast, purchase decision, automatic ordering, source-system changes or guessed unit conversion.
The gallery uses self-authored synthetic data and is not customer work or a guaranteed outcome.
3 days after complete in-scope inputs; one agreed-rule correction.
The seller performs the agreed work and returns the files. New inputs require a new seller run; this is not an automatically updating application.
$60