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Seller_uH4jRSI518dJG

Inventory Ledger's In transit Between Warehouse Column

I wanted to raise it here. When the In-transit Between Warehouse column quantity gets reduced does it go to Warehouse In/Out column? The AMZ CS rep says that the quantity is out from inventory ledger and goes to Reserved Inventory Report for processing and once okay goes to the receipt column in Inventory Ledger, which is quiet confusing and I am confused how to match these two reports. It would be weird for the Ledger to not have all the data though since it should be a ledger of all our inventories. Does anyone have the same case with me? I do find some In-transit between warehouse reduction that is adding up to the Warehouse In/Out column.

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Tags:Lagerbestand
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Seller_uH4jRSI518dJG

Inventory Ledger's In transit Between Warehouse Column

I wanted to raise it here. When the In-transit Between Warehouse column quantity gets reduced does it go to Warehouse In/Out column? The AMZ CS rep says that the quantity is out from inventory ledger and goes to Reserved Inventory Report for processing and once okay goes to the receipt column in Inventory Ledger, which is quiet confusing and I am confused how to match these two reports. It would be weird for the Ledger to not have all the data though since it should be a ledger of all our inventories. Does anyone have the same case with me? I do find some In-transit between warehouse reduction that is adding up to the Warehouse In/Out column.

Tags:Lagerbestand
10
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Topher_Amazon
In Antwort auf: Post von: Seller_uH4jRSI518dJG

Hey there, @Seller_uH4jRSI518dJG. I think the best place to start here is reviewing the Summary view report fields and their descriptions. These should give a clear picture of what is reflected in each. Additionally on the Reserved Inventory report you'll note:

Units can be in reserved status for the following reasons:

FC transfer: These units are being transferred from one fulfillment center to another to help place the inventory closer to customers. Units in the FC transfer status are available for customers to buy. However, customers might be shown a future ship date if no other units are available in the fulfillment centers for immediate fulfillment.

To be clear, the ledger should be zero-sum, to your original question. But if you have specific use cases on which you need help feel free to let me know.

Topher

10
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Seller_uH4jRSI518dJG

Inventory Ledger's In transit Between Warehouse Column

I wanted to raise it here. When the In-transit Between Warehouse column quantity gets reduced does it go to Warehouse In/Out column? The AMZ CS rep says that the quantity is out from inventory ledger and goes to Reserved Inventory Report for processing and once okay goes to the receipt column in Inventory Ledger, which is quiet confusing and I am confused how to match these two reports. It would be weird for the Ledger to not have all the data though since it should be a ledger of all our inventories. Does anyone have the same case with me? I do find some In-transit between warehouse reduction that is adding up to the Warehouse In/Out column.

95 Aufrufe
1 Antwort
Tags:Lagerbestand
10
Antworten
user profile
Seller_uH4jRSI518dJG

Inventory Ledger's In transit Between Warehouse Column

I wanted to raise it here. When the In-transit Between Warehouse column quantity gets reduced does it go to Warehouse In/Out column? The AMZ CS rep says that the quantity is out from inventory ledger and goes to Reserved Inventory Report for processing and once okay goes to the receipt column in Inventory Ledger, which is quiet confusing and I am confused how to match these two reports. It would be weird for the Ledger to not have all the data though since it should be a ledger of all our inventories. Does anyone have the same case with me? I do find some In-transit between warehouse reduction that is adding up to the Warehouse In/Out column.

Tags:Lagerbestand
10
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Inventory Ledger's In transit Between Warehouse Column

von Seller_uH4jRSI518dJG

I wanted to raise it here. When the In-transit Between Warehouse column quantity gets reduced does it go to Warehouse In/Out column? The AMZ CS rep says that the quantity is out from inventory ledger and goes to Reserved Inventory Report for processing and once okay goes to the receipt column in Inventory Ledger, which is quiet confusing and I am confused how to match these two reports. It would be weird for the Ledger to not have all the data though since it should be a ledger of all our inventories. Does anyone have the same case with me? I do find some In-transit between warehouse reduction that is adding up to the Warehouse In/Out column.

Tags:Lagerbestand
10
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Topher_Amazon
In Antwort auf: Post von: Seller_uH4jRSI518dJG

Hey there, @Seller_uH4jRSI518dJG. I think the best place to start here is reviewing the Summary view report fields and their descriptions. These should give a clear picture of what is reflected in each. Additionally on the Reserved Inventory report you'll note:

Units can be in reserved status for the following reasons:

FC transfer: These units are being transferred from one fulfillment center to another to help place the inventory closer to customers. Units in the FC transfer status are available for customers to buy. However, customers might be shown a future ship date if no other units are available in the fulfillment centers for immediate fulfillment.

To be clear, the ledger should be zero-sum, to your original question. But if you have specific use cases on which you need help feel free to let me know.

Topher

10
Folgen Sie dieser Diskussion, um über neue Aktivitäten benachrichtigt zu werden
user profile
Topher_Amazon
In Antwort auf: Post von: Seller_uH4jRSI518dJG

Hey there, @Seller_uH4jRSI518dJG. I think the best place to start here is reviewing the Summary view report fields and their descriptions. These should give a clear picture of what is reflected in each. Additionally on the Reserved Inventory report you'll note:

Units can be in reserved status for the following reasons:

FC transfer: These units are being transferred from one fulfillment center to another to help place the inventory closer to customers. Units in the FC transfer status are available for customers to buy. However, customers might be shown a future ship date if no other units are available in the fulfillment centers for immediate fulfillment.

To be clear, the ledger should be zero-sum, to your original question. But if you have specific use cases on which you need help feel free to let me know.

Topher

10
user profile
Topher_Amazon
In Antwort auf: Post von: Seller_uH4jRSI518dJG

Hey there, @Seller_uH4jRSI518dJG. I think the best place to start here is reviewing the Summary view report fields and their descriptions. These should give a clear picture of what is reflected in each. Additionally on the Reserved Inventory report you'll note:

Units can be in reserved status for the following reasons:

FC transfer: These units are being transferred from one fulfillment center to another to help place the inventory closer to customers. Units in the FC transfer status are available for customers to buy. However, customers might be shown a future ship date if no other units are available in the fulfillment centers for immediate fulfillment.

To be clear, the ledger should be zero-sum, to your original question. But if you have specific use cases on which you need help feel free to let me know.

Topher

10
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