Consumer goods / Prepared walkthrough

Reconcile inventory movements.

Find where reported stock differs from the movement records.

Workflow explorerIllustrative walkthrough · synthetic data

01 / Define the context

A bounded source packet.

These files were authored for this example. No customer documents are included.

inventory.csv

Synthetic stock reconciliation

Synthetic
Download source packet

02 / Ask a specific question

The task sets the scope.

Does reported closing inventory match the movements?

Review only the supplied packet. Keep units and versions explicit. When evidence is missing, show the gap.

This instruction is part of an authored demonstration. It has not been executed against the native product in this build.

03 / Inspect the intended output

SKU-A differs by five units

Authored expected result · synthetic data
SKUExpected closingReported closingGap
SKU-A50455
SKU-B40400

Expected closing = opening + received − sold. A discrepancy does not establish theft, waste, or its cause.

Inspect the supporting source

04 / Follow the source

The context behind the result.

inventory.csvinventory
sku,opening,received,sold,reported_closing
SKU-A,120,30,100,45
SKU-B,100,20,80,40

Expected closing = opening + received − sold. A discrepancy does not establish theft, waste, or its cause.

Methodology & current evidence status

Native product evaluation pending. This is an authored example of the intended workflow, not a recording of model output or a customer result.

The displayed tables are authored expected outputs derived from the synthetic packet. No accuracy, latency, customer impact, or product pass rate is reported. Native recorded artifacts will replace examples after evaluation.

Synthetic operating examples. Forecast accuracy, margin improvements, and commercial savings have not been measured.