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Run: Negative On-Hand Correction SOP

Negative On-Hand Correction SOP template for investigating WMS shortages, confirming physical stock, and posting approved inventory adjustments with clear es...

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Steps

The inventory control specialist verifies the item number, description, location, lot or serial number if applicable, and the exact negative on-hand quantity in the WMS. The specialist records the date, time, and source screen or report used to identify the variance.
The warehouse supervisor places the affected item or location on hold in the WMS, or applies the site-approved control method to prevent additional receipts, picks, or transfers from posting against the negative balance while the investigation is in progress.
The WMS analyst reviews all receiving transactions for the affected item and location, including open receipts, partial receipts, quantity discrepancies, wrong item postings, and timing gaps between physical receipt and system posting. The analyst compares the receiving record to the supplier document, purchase order, and any exception notes.
The inventory control specialist reviews outbound picks, replenishment moves, internal transfers, and any manual adjustments for the affected item. The specialist checks for overpicks, duplicate confirmations, wrong location picks, unposted reversals, and transaction timing issues that could have driven the on-hand balance below zero.
The warehouse supervisor assigns a competent person to perform a targeted count of the affected item and location. The verifier compares the physical count to the WMS balance, records any count variance, and confirms whether the negative balance is supported by a real shortage or by a transaction error.
The inventory control specialist determines the most likely root cause based on the transaction review and physical count results. The specialist documents whether the negative balance was caused by receiving, picking, transfer, master data, timing, or manual entry error.
The authorized user enters the inventory adjustment in the WMS using the verified quantity and the approved reason code. The user includes the reference to the investigation record, count result, and root cause. The supervisor or designated approver reviews and approves the adjustment before it is finalized.
If the root cause cannot be confirmed or the discrepancy exceeds site tolerance, the warehouse supervisor escalates the issue to the operations manager, inventory control lead, or quality representative. The supervisor opens a non-conformance record and assigns follow-up actions for additional investigation.
The inventory control specialist documents the final root cause, correction applied, approver name or role, and any preventive actions such as transaction retraining, receiving process review, or WMS parameter correction. The specialist closes the case only after the WMS balance matches the verified status and all required documentation is complete.

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