SUPPLY TECHNICIAN (OA)

Created at: March 20, 2025 00:10

Company: U.S. Marine Corps

Location: Camp Lejeune, NC, 28542

Job Description:

You will serve as a SUPPLY TECHNICIAN (OA) in the TRAINING and EDUCATION COMMAND, SCHOOL OF INFANTRY-EAST within the TRAINING AND EDUCATION COMMAND. This is a RE-ADVERTISEMENT of Announcement Number: ST-12678194-25-ARB. Applicants that have previously applied NEED to re-apply to this announcement.
Your resume must demonstrate at least one year of specialized experience at or equivalent to the GS-04 grade level or pay band in the Federal service or equivalent experience in the private or public sector. Specialized experience must demonstrate the following: Receiving, processing, tracking, sorting, transferring, adjusting, and issuing supply/stock items. Additional qualification information can be found from the following Office of Personnel Management website: https://www.opm.gov/policy-data-oversight/classification-qualifications/general-schedule-qualification-standards/2000/supply-clerical-and-technician-series-2005/ Experience refers to paid and unpaid experience, including volunteer work done through National Service programs (e.g., professional, philanthropic, religious, spiritual, community, student, social). Volunteer work helps build critical competencies, knowledge, and skills and can provide valuable training and experience that translates directly to paid employment.
You will perform a variety of related tasks involving inventory, reviewing supply list, researching catalogs and stock numbers, and identifying authorized substitutions.
You will receive and answer routine telephone inquiries or refer to appropriate staff.
You will check for correct nomenclature, unit of issue, stock numbers, and editing for processing and stock management and record keeping for vast number of line items.
You will reconcile and prepare inventory adjustments for discrepancies disclosed by physicals inventories and transfer between accounts.
You will be responsible for manual and automated records, quantitative and financial reconciliation for account balances.


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