Wrong audit will create a batch to pull. When you scan in the audit not only you fix the count but also creates an oos ( out of stock ) batch Formally knowing as research batch , also is going to order stuff that you have been out of if you don’t have locations in the back .Audit is basically research with a fancier name. As for exf you scan outs but if there is nothing in the back it will be no batch.There are many reasons to use both. EXF will fill the floor. Audit affects on hands and SHOULD help fill the floor. One of the differences is that EXF will create a batch to pull, audit will not.
Please do an audit. One less Gs question for you about it.Sort of related question. I’m a GSTM, but once in a blue moon I’ll do reshop if there’s a lot and not enough SFTMs. If I happen to come across a random item here or there whose on floor counts are wrong, should I audit? Or should I leave that to SFTMs? I want to make sure counts are accurate but also don’t want to screw someone else up.
Or like sometimes I’ll go to buy something and it says we have 2 on the floor and then I go there and there’s none. A few months ago it said we had 200 Michelle Obama books. We had 0, and weren’t getting any bc it thought we had 200.
That was poor communication . Because my backroom team doesn’t do audits so I can see how he understood to delete areas. They just changed the backroom quantity audit in the zebra this week.We had a backroom tm that was told to audit. He used an old school PDA and started deleting locations everywhere for an entire 8 hour shift. I guess he didn't like to audit. Termed the next morning.
Audit app correct counts.
Thanks!Please do an audit. One less Gs question for you about it.