SOP Guide for Pharma

API Manufacturing: SOP for Reconciliation of Issued and Returned Materials – V 2.0

API Manufacturing: SOP for Reconciliation of Issued and Returned Materials – V 2.0

Standard Operating Procedure for Reconciliation of Issued and Returned Materials in API Manufacturing

Department API Manufacturing
SOP No. SOP/API/009/2025
Supersedes SOP/API/009/2022
Page No. Page 1 of 10
Issue Date 13/04/2025
Effective Date 15/04/2025
Review Date 13/04/2026

1. Purpose

To describe the systematic procedure for reconciling the quantity of raw materials issued to production and the quantity of unused materials returned to the warehouse, ensuring material accountability, inventory accuracy, and GMP compliance.

2. Scope

This SOP applies to all raw materials issued and returned during the manufacturing of API batches in the facility. It is applicable to warehouse, production, and quality assurance departments.

3. Responsibilities

4. Accountability

The Warehouse Manager is accountable for ensuring that all material reconciliations are performed accurately and documented properly. QA Manager ensures procedural compliance.

5. Procedure

5.1 Reconciliation Initiation

  1. Reconciliation begins immediately after batch completion or at the end of each shift.
  2. Production shall complete the “Material Usage and Return Form” (Annexure-1) with details of:
    • Issued Quantity
    • Consumed Quantity
    • Returned Quantity
    • Losses (spillage, dusting, evaporation)

5.2 Return of Unused Materials

  1. Ensure returned materials:
    • Are in their original labeled containers
    • Are securely sealed
    • Show no signs of contamination or tampering
  2. Label returned material with a “Returned from Production” tag (yellow) indicating:
    • Batch No.
    • Date of Return
    • Qty Returned
    • Returned By
  3. Warehouse staff logs the return in the “Returned Material Register” (Annexure-2).

5.3 Verification by Warehouse and QA

  1. Warehouse Executive verifies returned quantity against issued amount.
  2. QA checks the physical condition of returned containers and cross-verifies against reconciliation form.
  3. Any deviations > ±2% must be documented as a “Material Reconciliation Deviation” (Annexure-3) and investigated.

5.4 Final Reconciliation and Stock Update

  1. Reconcile total material used as per formula:

    Issued Quantity = Consumed Quantity + Returned Quantity + Documented Losses

  2. On successful reconciliation:
    • Update ERP/Inventory System
    • Stock returned material to the appropriate “Returned Material Area” for future use
  3. In case of repeated excess losses or untraceable materials, escalate for root cause analysis and CAPA.

6. Abbreviations

7. Documents

  1. Material Usage and Return Form (Annexure-1)
  2. Returned Material Register (Annexure-2)
  3. Material Reconciliation Deviation Form (Annexure-3)

8. References

9. SOP Version

Version: 2.0

10. Approval Section

Prepared By Checked By Approved By
Signature
Date
Name Rajesh Kumar Sunita Reddy Manoj Verma
Designation Warehouse Executive QA Executive QA Manager
Department API Manufacturing Quality Assurance Quality Assurance

11. Annexures

Annexure-1: Material Usage and Return Form

Date Material Batch Issued Qty Consumed Qty Returned Qty Loss Returned By
13/04/2025 Solvent A SA202504 100 kg 97 kg 2 kg 1 kg Vikas Sharma

Annexure-2: Returned Material Register

Date Material Batch Qty Condition Verified By
13/04/2025 Solvent A SA202504 2 kg Good Rajesh Kumar

Annexure-3: Material Reconciliation Deviation Form

Date Material Batch Deviation Investigation Summary QA Review
13/04/2025 Solvent A SA202504 3% Loss Observed minor spillage Acceptable

Revision History:

Revision Date Revision No. Revision Details Reason for Revision Approved By
01/01/2022 1.0 Initial SOP Process Documentation QA Head
13/04/2025 2.0 Included Loss Analysis and ERP Integration GMP Enhancement QA Head
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