Benefits:
- Stable Schedule: Full-time, Monday-Friday with consistent hours based on branch operations—no unpredictable shifts or weekend work!
- Generous PTO: 20 PAID DAYS OFF (includes PTO, holidays, and family-focused company closure between Christmas & New Year’s!).
- Competitive Pay & Bonuses: Strong hourly rate + OT potential during peak season, plus eligibility for discretionary holiday and performance bonuses.
- Top-Tier Benefits:
- Comprehensive Benefits: Medical, dental, and vision insurance with significant employer contributions to help keep costs affordable.401K with industry-leading company match.
- Additional voluntary benefits, including disability coverage and accident insurance.
- Career Growth: We invest in your success—whether through training, promotions, or new opportunities.
- Family-Owned & Operated: We treat our team like family and foster a supportive, team-driven environment.
Key Working Relationships:
- Branch Manager
- Warehouse Manager
- Inside Sales Team
- Corporate Purchasing Team
- Accounts Payable (AP)
Core Competencies Required:
- Strong attention to detail
- Ability to work confidently across multiple systems (Agility, OnBase, etc.)
- Clear understanding of document flow and AP reconciliation processes
- Strong communication and organizational skills
- Ability to prioritize tasks in a fast-paced branch environment
Primary Responsibilities:
- Inventory Management
- Perform weekly cycle counts to ensure inventory accuracy
- Conduct monthly dead stock and inventory turns reviews
- Identify excess, obsolete, or non-stock items for transfer or disposal in coordination with the Branch Manager
- Participate in and support the annual physical inventory process
- Purchasing & Stock Replenishment
- Execute inventory purchasing and Suggested Purchase Orders (SPOs)
- Work with the Branch Manager and Purchasing to identify inventory gaps
- Source materials through vendors or other RBS branch locations as needed
- Conduct SPO reviews multiple times per week using Agility and Hotlist reports to:
- Prevent inventory shortages
- Ensure timely material sourcing
- Monitor large shared SPOs to ensure correct allocation and timely delivery or pickup
- Receive & Transfers
- Maintain accurate and timely receiving of all purchase orders
- Ensure all POs are properly and completely received in the system
- Scan and upload receiving documents daily to keep records current
- Investigate and resolve receiving discrepancies, errors, or damaged materials
- Review all open vendor POs and branch transfers to ensure they are received promptly and not left open past due
- Work with branch staff to validate long-overdue POs
- Complete Service Requests (SRs) for damaged or returned materials in a timely manner
- Coordinate with the Warehouse Manager to ensure branch transfers are:
- Picked up on schedule, or
- Confirmed as successfully shuttled
- Accounts Payable (AP) & Reconcilation
- Work in OnBase daily to review and manage AP documentation, including:
- Invoices
- Approvals
- Supporting documentation
- Exceptions
- Verify accuracy of vendor invoices and RBS purchase orders
- Investigate and resolve discrepancies by coordinating with:
- Corporate Purchasing
- Accounts Payable
- Vendors
- Ensure vendor orders are acknowledged correctly and corrected when necessary
- Complete AP reconciliations:
- Twice per week initially due to current volume
- Transitioning to once per week as volume stabilizes
- Conduct ongoing and periodic reviews of past PO and invoice variances
- Support month-end close and audit requests by providing required documentation and reports
- Maintain organized AP records in compliance with internal controls and company procedures
- Work in OnBase daily to review and manage AP documentation, including:
- Inside Sales Support
- Continue to assist with inside sales during:
- Periods of high customer demand
- Times of limited branch staffing
- Continue to assist with inside sales during:
Performance Expectations:
- Maintain accurate inventory levels and minimize excess and dead stock
- Ensure timely and accurate purchasing, receiving, and AP processing
- Proactively identify and resolve discrepancies
- Communicate effectively with branch and corporate teams
- Support overall branch efficiency and financial accuracy