Hi everybody!
As we continue to improve our processes, Mike and I have hit on a solution to the “Coke Ticket” problem that continues to affect accurate food costs on preliminary statements. To date, we’ve been keying Coke from their delivery tickets or statements, which means we must either wait until we get them from the store or until a statement arrives. Many times we don’t get the info before we’re ready to send out prelims. So, we’re changing what we key info from… For the month of August (and hopefully beyond), we’ll be keying Coke tickets from Pulse’s food worksheet on a weekly basis. But in the past we’ve had a lot of issues of Pulse entries not matching what comes in on the Coke Statements. So… while I’ll be keying purchases for Coke weekly, Mike won’t pay those tickets until he can match them to a Coke Statement.
This means two things… 1) We’re relying heavily on store input–meaning it’s now very important that the store keys the invoice number and the correct invoice amount–regardless of whether or not some of those Cokes are for employees. And 2) food cost could conceivably change as Mike reconciles my input to the Coke statements. If he finds missing tickets, he’ll add them. If he finds tickets that don’t belong, he’ll delete them. And of course, he’ll correct any invoice should it need it. But we’re hoping that this reconciliation won’t be a lot. However if it is, it’ll defeat the purpose, and we’ll obviously have to reconsider this whole Coke system.
There’s one other thing this change means to you… You no longer need to mail/fax/email Coke tickets to us! Keep your fingers crossed that this system will work, and we’ll definitely keep you posted on it.
Kathy McNarie