Know exactly what you have, where it is, and how it got there
Full visibility into WIP and finished goods. Clear reconciliations, audit trails, and real-time costing.
What ReSpark changes about inventory management
The old way creates work. ReSpark replaces it.
Everything inventory management should be.
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See total weight, cost, and value across loose, WIP, and finished goods — filtered any way you need.
- Inventory split across loose weight, packaged WIP, and finished goods.
- Total weight, average cost, and total value visible at a glance.
- Filter by material, commodity group, yard, or date range with export.
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Roll inventory up across every yard with drill-down, comparisons, and transfers that keep costing intact.
- Consolidated inventory view across all yards with per-yard drill-down.
- Cross-yard comparison dashboards.
- Cross-yard transfers preserve ownership, costing, and audit trails.
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Average cost basis that follows material through regrades and transfers, tracked in weight and RMU.
- Average cost tracking that survives regrades, transfers, and adjustments.
- Clear cost basis at every step in the material lifecycle.
- Dual inventory tracking in both net weight and recovered material units (RMU).
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Tag, scan, and ship finished goods with lot, container, and destination tracked from creation through outbound.
- Track processed inventory with lot numbers, container assignments, and destination.
- Create and print QR-coded tags from mobile or desktop.
- Scan tags into packing lists in seconds via operator app.
- Available and unavailable status tracking based on outbound ticket linkage.
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Split one input into multiple outputs with configurable allocation and a full audit trail.
- Regrade one input material into multiple outputs with full traceability.
- Configurable allocation rules for weight, cost, and shrink.
- Supplier traceability maintained through the entire production process.
- Full audit trail with before/after weights, costs, and user attribution.
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Draft, validate, and reconcile inventory adjustments with reason codes, bulk upload, and variance drill-down.
- Draft, validate, and apply yard-wide adjustments with reason codes.
- Bulk adjustment upload via spreadsheet with draft review.
- Negative inventory dashboard identifies when and how balances went negative.
- Reconciliation reporting with variance drill-down by material and time window.
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Daily period locks with pre-close review, straddle handling, and reversals routed to the current period.
- Lock fiscal periods at the daily level to prevent backdating.
- Pre-lock review surfaces open items before finalizing.
- Straddle support for in-progress transactions across period boundaries.
- Edits and voids to locked periods blocked; reversals post to current period.
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Scan barcodes for material lookup and QR tags from mobile for fast counts and verification.
- Barcode scanning for material identification and inventory lookup.
- QR code scanning via mobile for rapid tag counting and verification.
- Sample-based physical counting for large finished goods inventories.
Yard Operations
Yard Operations
From the first weigh-in to the final settlement, every workflow connects back to one real-time system your whole team works from.
Scale Ticketing
Weigh-in, grading & receipts
Processing
Input-to-output material rules
Purchasing & Sales Orders
POs, SOs & document generation
Reporting & Analytics
Financial dashboards & drill-downs
Multi-Entity & Intercompany
Consolidated multi-yard financials