Stock Reconciliation Agent
Compares WMS inventory against ERP records and surfaces every discrepancy — caught before they affect fulfilment.
A workflow template for a scoped build. Integrations, permissions and outcomes are confirmed with your team; this page is not a claim of an already deployed client system.
The work it handles
Compares WMS inventory against ERP records and surfaces every discrepancy — caught before they affect fulfilment. Runs in the background so your team does not have to.
In logistics, compares WMS inventory against ERP records and surfaces every discrepancy — caught before they affect fulfilment — but doing it manually does not scale. Stock Reconciliation is the kind of work that piles up when nobody has dedicated time for it. Context is scattered, SLAs slip, and your team ends up on repeat work instead of the decisions that matter.
How it works
Stock Reconciliation connects to Stock, WMS, Shopify and your ops & reporting stack. It reads your rules, brand voice and live data — then compares WMS inventory against ERP records and surfaces every discrepancy — caught before they affect fulfilment. Exceptions land with your team; everything else runs without another dashboard to check.
- Records imported — Stock · both sides loaded
- Match & compare — WMS · rules applied
- Flag discrepancies — Exceptions highlighted
- Clear or escalate — Approved · held for review
What it can deliver
- Stock
- WMS
- Matched records
- Exception lists
Potential integrations
Stock · WMS · Shopify · Slack · Airtable · Google Sheets
Access and support are confirmed during scoping. Consequential actions follow the agreed approval rules.
Ownership and operation
Enterprise builds include the agreed code and documentation in your environment. Your team can operate the system, or scope ongoing 187N support.
Review security and data flows ↗Related workflows
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