Title: Physical Inventory Cycle Count
1Physical Inventory Cycle Count
- Brent Ashcraft BYU-Idaho
- ashcraftb_at_byui.edu
- 208-496-2213
2The following are actual signs seen across the
good ol' U.S.A.
- In the window of an Oregon store
- Why go elsewhere and be cheated when you can come
here? - In a New York restaurant
- Customers who consider our waitresses uncivil
ought to see the manager.
3The following are actual signs seen across the
good ol' U.S.A.
- In a Los Angeles dance hall
- Good clean dancing every night but Sunday.
- In the offices of a loan company
- Ask about our plans for owning your home.
4The following are actual signs seen across the
good ol' U.S.A.
- On the wall of a Baltimore estate
- Trespassers will be prosecuted to the full extent
of the law.Sisters of Mercy - In a New York medical building
- Mental Health Prevention Center
5The following are actual signs seen across the
good ol' U.S.A.
- On a display of "I love you only" Valentine
cards - Now available in multi-packs.
- In a Maine restaurant
- Open 7 days a week and weekends.
6Topics of Discussion
- Why Cycle Counts?
- Specifics of How we Count
- Other Related Accounting Procedures
- Group Sharing of Ideas
7Why Cycle Counts?
- Confidence in system stock-on-hand numbers
- Identify Shrink Sooner
- Discover Problems in Processes
8Confidence in Numbers
- Schedule counts throughout the year
- Allow buyers to request counts
- Show reports of results to buyers before
finalizing
9Identify Shrink Sooner
- Post shrink 2 to 5 times a year can see trends
- Count high shrink potential items quarterly
(technology) - Discover areas vulnerable to shrink
- Discourage employee theft
10Discover Problems in Processes
- Tagging Errors
- Erroneous changes in stock on hand quantities
DEI-STN or STS - Bar codes assigned to wrong SKU
- Receiving errors or miscounts
- Pricing errors
11How we Cycle Count
- Assign responsibility to AP
- Outline a schedule for the year
- Use a procedure checklist
- Do weekly counts
- Keep reports
12Assign responsibility to AP
- Accounts Payable Clerks do cycle counts after
processing daily invoices - Two or more class codes can be counted in an
afternoon - They follow schedule for the month
- Accept requests from Buyers
13Outline schedule for year
- Review all class codes for need
- Determine how often to count based on value and
quantity of inventory - Create a spreadsheet to track progress
14Use a procedure checklist
- Create a procedure checklist for AP clerks
- Checklist ensures that steps are not missed
- Easy to train someone because they can follow the
checklist
15Do Weekly Counts
- Most weeks except for Rush and Buyback
- Shooting for 5 to 15 class codes per week
16Keep Reports
- Reports showing differences between count and
system on-hand - Shrink reports
17Cycle Count Process Step by Step
- Identify class(es) to count
- Notify buyer and receiving department
- Create PI session
- Freeze stock on hand
- Count using wireless Symbol scanners
- Post count and run differences report
18Cycle Count Process Step by Step cont.
- Review count-to-freeze differences report to see
what items need verified - Research unreasonable differences using
additional system reports if necessary - Enter corrections using handheld or through PI
menu option - Post corrections
- Rerun count-to-freeze differences report
19Cycle Count Process Step by Step cont.
- Review final results with buyer
- When confident the count is correct, run final
process which adjusts all uncounted skus to zero. - Delete the PI session
- Enter shrink into stock ledger (INV-21-06)
- Update spreadsheet tracking record with count
date and shrink amount
20Group Sharing of Ideas
- Suggestions for improving Cycle Counting?
- Is it feasible for all stores?
- Do the benefits outweigh the costs?
- Can cycle counting replace annual physical
inventories?
21Other Related Accounting Procedures
- Annual Physical Inventory
- Stock Ledger Reconciliation
- Daily review of stock changes, transfers, and
price changes - Receiving and Shipping Controls
- Discrepancy reporting
- Accounts Payable processing of discrepancies
- History Processing (Purging files)
22Textbook Loyalty Program
- POS tracks textbooks by customer
- Link in CO.CF file
- Does not allow return unless in CO.CF as a sale
- Cannot sell to store until last day of buyback
(we pay 60) - Buys back for store at 40 on the last day of
buyback
23Physical Inventory Cycle Count
- Brent Ashcraft BYU-Idaho
- ashcraftb_at_byui.edu
- 208-496-2213