Series2K Daily Checklist

 

The following checklist has been provided as a suggested guideline for your daily work flow.

This checklist will help you navigate through your daily tasks in Series2K.

 

 

1.      PUBLISH PRICEBOOK

Publish all items selected as “Add and Update”

 

2.      HQ NOTIFICATIONS

Check the notifications button for new items

Click “Accept” for all SRP’s or add site retail, then click “Accept”

 

3.      DAILY RECONCILIATION

Review sales data, not-setup items and that there are no out of line DEPTS (“!”)

Verify receipts and make adjustments, as necessary

Check that margins for fuel and c-store are in line

Check fuel inventory over/short amounts for missing invoices or incorrect reconciliation dates, correct as needed.

Upload receipts or documents as needed and approve the day

 

4.      FUEL INVOICES

Check fuel invoices for accuracy: gallons, dollars, and add-ons.

 

5.      NON-FUEL INVOICES

Enter deliveries for the day with handheld or manually in S2K

Review and reconcile all deliveries

Review EDI invoices, check for cost changes and update new items, make sure balanced

Approve all invoices when complete

Create a “Non-Fuel Inventory Adjustment” invoice to account for any merchandise waste items

 

6.      RETAIL UPDATES

Make retail price changes for the day and update to the register