ONGOING MONTHLY PALLET MANAGEMENT
- Complete the monthly reconciliation of all transfers.
- Update notifications of all issues and outstanding queries to be resolved.
- Collect required PODs.
- Provide a variance report (when pallet counts have been completed).
- Ongoing training and development of your team and management of implemented systems and procedures

IDENTIFY YOUR CURRENT PALLET POSITION
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Determine the exact pallet position of your business through a thorough audit which includes a stocktake.
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Supply you with a full management report outlining the exact position of your account including any losses or gains of pallets/equipment.
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