Responsibilities: To maintain Inventory accuracy by conducting cycle count / perpetual Inventory. To generate periodical reports on stock. Conducting stock taking across all Stores Ensure updation of stock to Stores at the right time Reports on stock inward & outward, damages, discrepancies etc. Proper verification and cross check on Bills, cash and card, GV, and other vouchers Bills on Exchange of products has to be followed as per system Proper check on Store Assets, materials, Stocks, other items, petty cash maintenance.