Customer / Issued
Connect the two source records needed for pallet balances by customer and keep them current.
Pallets shipped to each customer are counted at every shipment, and the agent sends return requests to accounts that fall behind.
Book a demoReturnable asset control
Pallets off-site
Outstanding 30+ days
Recovered this week
Replacement exposure
36 · 42 days
8 · 19 days
70 · 61 days
12 · 27 days · Pickup Sep 9
0 · —
18 · 34 days
14 · 16 days · Pickup Sep 10
47 · 53 days
Review the current state of pallet balances by customer and complete “Send return requests” from the same workspace.
Connect the two source records needed for pallet balances by customer and keep them current.
1,284 is calculated from the current worklist. Across 42 customers.
Review evidence and status on each item, with exceptions brought to the front.
Write the approved result back and retain who changed what and when.
Connect the systems and data you already use in the way your workflow needs.
Inventory and movement sync
Operations and finance data
Customer, deal, and service data
Messaging sync
Delivery and return routes and due dates
Pallet issue and return scans
Mileage and fuel come in from Samsara per truck, and the agent compiles the monthly log for each vehicle.
Log a customer return, and the agent sorts it by reason into restock or disposal and posts the return entry.
The agent matches the monthly UPS and FedEx bills line by line to the labels issued, and files disputes for the differences.
Connect the systems and documents you already use, then tailor permissions, exception handling, and approvals to your operation.