Inventory Control & Invoice Processor
- Location
- Philadelphia, PA, US
- Workplace
- On-site
- Compensation
- $20 – $25
About this role
Position Summary |
Responsible for the end-to-end transactional workflow supporting receiving documentation, inventory entry, manifest control, invoice and PO reconciliation, document filing, special inventory transactions, and month-end reconciliation. This role requires strong attention to detail, numerical accuracy, investigative follow-through, and coordination across Receiving, Purchasing, Finance, Inventory, and Operations. |
Primary Responsibilities |
Manifest, Invoice & PO Reconciliation |
• Reconcile manifests and invoices: Reconcile daily; Review Docuware for mill invoices, balance manifest against invoices and ensure freight charges are updated (including CP pick up frt charges). Approve and code invoice |
• Match KeyRecs to receiver paperwork and manifests: Match KeyRec to packing slip and manifest printout; file appropriately after mill invoice approval. |
• Close all POs tied to manifests: Close all POs tied to manifests in a timely manner. |
Inventory & Receiving Transaction Control |
• Pre-enter manifest inventory transactions: Pre-enter manifest inventory transactions before receipt/confirmation. |
• Confirm manifests: Confirm manifests against check-in information. |
• Maintain and update inventory spreads: Maintain inventory spreads for accuracy. |
• Maintain oversight of receiving documentation: Ensure receiving documents are complete, accurate, and retained. |
• Confirm Vital container receipt: Confirm receipt of each container with copy of POD and signature. Maintain spreadsheet sent by mill and respond as received. |
• Obtain handwritten BOL for presold inventory not entered/received: Get handwritten BOL when presold inventory has not yet been entered or received. Create manifest, create the order based on hand written BOL then ship for billing to bill. |
• Charta Process: Charta comes in and entered as customer owned. When sold, remove from customer owned and bill mill for product as N/C. Request PO from purchasing for stock, mainefst and make available. EM CS to advise stock is available. |
Document Control & Administrative Support |
• File manifest packets: File manifest packets as backup to Lisa. |
Month-End Reconciliation |
• Ensure all manifests are reconciled: All manifests must be fully reconciled by month end. |
• Ensure all POs are closed: All POs tied to manifests must be closed. |
• Ensure all KeyRecs are matched and filed: All KeyRecs must be matched and filed. |
• Resolve all open reconciliation variances: No open reconciliation variances at month end. |
Cross-Training & Coverage |
Both positions will be cross-trained to provide backup coverage during absences, workload peaks, and month-end. Each employee is expected to understand the upstream and downstream impact of assigned tasks and provide coverage for the companion role when needed. |
Qualifications & Performance Expectations |
• Advanced attention to detail with strong reconciliation, data-entry, and numerical skills. |
• Ability to compare supporting documents, identify discrepancies, and resolve exceptions before processing or approval. |
• Comfort working in AS400/ERP systems, DocuWare, Excel, and document-based workflows. |
• Strong organization and filing/document-control discipline. |
• Prompt, professional communication and effective interdepartmental collaboration. |
• Self-starter with dependable, on-time attendance and ability to manage recurring daily and month-end deadlines. |
• Accuracy, timeliness, completeness, issue identification, and follow-through are core performance measures. |
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