← The Ultimate Guide to Inventory Accuracy
Why Physical Counts Never Match Your WMS (and How to Fix It)
It is the most frustrating moment of an audit: the physical count is finished, but the numbers don't match what is on the screen. Even with the most expensive Warehouse Management System (WMS), "drift" is inevitable. If your digital records say you have 500 units and your counters only find 480, you have a data integrity problem that goes deeper than just a few missing boxes.
The Common Culprits of "System Drift"
Why does the software lose track? The reasons are usually operational:
- Ghost Shipments: Orders that were marked as "shipped" in the system but never physically left the dock.
- Unrecorded Returns: Items returned by customers that were put back on the shelf without being scanned back into the system.
- Hidden "Stash" Locations: Inventory moved to an unofficial location (like a top rack or under a packing table) without a location transfer scan.
- Standard Human Error: Scanning the barcode for a red shirt when the employee is actually holding a blue one.
The Danger of "Blind Trust" in Software
Many managers fall into the trap of believing the WMS is the "source of truth." In reality, the shelf is the source of truth. When the WMS is wrong, your automated reordering triggers are wrong. This leads to "Phantom Inventory," where the system refuses to order more of a product because it thinks you still have stock, resulting in lost sales and frustrated customers.
How Professional Counters Bridge the Gap
A professional inventory service acts as a "hard reset" for your WMS. We perform what is known as a Blind Count. Our team doesn't see what the system thinks is there; they only record what they physically touch. This prevents "confirmation bias," where a counter sees "500" on a sheet and simply checks the box without verifying every unit.
Establishing a Reconciliation Protocol
Fixing the mismatch isn't just about updating the number in the computer. It’s about investigating the *why*. A professional audit provides a variance report that highlights specific "problem SKUs." By analyzing these discrepancies, you can identify if the issue is a training gap, a software glitch, or a specific process in the warehouse that is failing.