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Inventory release notes are moved to Chain - Inventory (products.egretail.cloud) |
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Release 08.11.2024
Stocktaking for stores not using Inventory management
When a store is not using Inventory Management, the purpose of doing stocktakings is to count all items in the assortment and create a stock list for financial reporting purposes.
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- The only available stocktaking type is Periodic, which includes all items with a price from the stores' active assortment.
- Waste and stock aggregates in the stocktaking are always zero.
- Deviation and stock aggregates on the items are always zero, and weighted cost price is always the net price.
- Deviations on the count list is always zero.
- Deviation on count list items are always zero, and weighted cost price is always the net price.
- Completing the stocktaking does not create any waste transactions, nor create or update stocks.
- "Items not counted" step in the complete stocktaking view, and waste reports, is not shown.
Improvements
Area | Description |
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Transactions | Reserved quantity (RTC-44968) The reserved quantity is not increased, and the delivered quantity is correctly increased, when a poslog with ordered and delivered items arrives in the Inventory module in one operation. |
Stocktaking |
is improved. | |
General | Columns improvement (RTC-40938) All columns from one side of the grid cannot be disabled at the same time. |
User roles | Inventory roles (RTC-42671) Managing item transactions individually has been removed. |
supports View transactions or Manage all transactions. |
With Manage all transactions, the user gets access to manage all transactions types (Breakage, Internal user, Stock correction, Internal transfer, Return to supplier). | |
Technical | .NET 8 InventoryService repository |
is updated to .NET 8. |
Improvements to the optional fields in Inventory Service swagger. The item integration have been extended to fetch ItemTypeName and ItemTypeCode data from Item Service. |
Release 23.09.2024
Replace recounted items
Replacing the counted quantity with the recounted quantity
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- Store - Returns a list of recount groups with number of items to be recounted for an active stocktaking in a given store.
It returns no results if no stocktaking is active in the given store. - Items - Returns a paged list of items tagged to be recounted.
Improvements
Area | Description |
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Stock | Changing picking store caused negative reserved quantity (RTC-43837) The stock is no longer updated on already delivered items, when the picking store is changed. |
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Release 09.09.2024
Count group status
- Count groups in stocktakings can have the statuses "New" (by default), "Count In Progress" or "Count List Submitted".
- The "Inventory.CountList.Import" file import has an optional "countGroupId" field, which allows linking a Service type count list with a specific count group. Linking the count group will change its status to "CountListSubmitted" in the active stocktaking of count list's store.
- Deleting a count group or updating its store level removes its links to all count lists.
- The "CountGroups/Get" API is extended by the count group status through the "countGroupStatus" field.
- The "CountGroup/Status/Patch" API allows changing count group status between "New" and "CountInProgress".
Improvements
Area | Description |
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Grids and exports | Translations in Excel exports (RTC-40943) In all Excel exports, data in the "Transaction type", "Recount" and "Sales unit" columns are translated. Grid improvements |
Stocktaking | Store access in count group views (RTC-42547) Modifying a count group requires store access. The user must have "Manage count groups" permission directly in all stores or store groups selected in a count group in order to edit it. Retry completing stocktaking (RTC-42688) The option for keeping or resetting not counted items, is working as expected also when retrying completing the stocktaking. |
Seasonal storage | Seasonal storage improvements (RTC-42668)
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Transaction / Stock status | Stock movements improvements (RTC-42670)
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Release 12.08.2024
Improvements
Area | Description |
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Stock import | StockBalance import (RTC-38230) When StockBalance does not have WeightedCostPrice defined in the import, WeightedCostPrice is not exported separately by the Export job |
Transaction | Transactions view performance (RTC-41139) Two indexes were added to the item transactions table. |
User access | Permission improvements (RTC-41317)
Store picker (RTC-41317)
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Item | Events from Item Service (RTC-42185) When Inventory receives events from Item Service which contains some duplicated lines, each line is processed once. |
Release 25.07.2024
Improvements
Area | Description |
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Price | Cleanup of inactive prices (RTC-33368) Old and inactive prices are removed from the system on a daily basis. Prices are deleted if:
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Virtual stock | Virtual stock (RTC-40884) A virtual stock cannot be created if no stores are selected. |
Stock gateway | Last counted date in StockBalance (RTC-41697) The stock balance method response is extended by "lastCountedDateTimeUtc" field, which contains the date when the item was last counted. |
General | Exceptions handling (RTC-41684) Improved exceptions handling in Export and PoslogProcessing jobs. |
Release 05.07.2024
Improvements
Area | Description |
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Transactions | Online return from order (RTC-41629) When online returns from customer orders are done in a store, that does not have the returned item in their inventory, the item will be added to the stores stock. Transaction view improvements (RTC-40895)
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General | POSLogs with errors (RTC-41423) Incoming POSLogs with an error status, a missing poslog envelope or poslog version 0, are skipped in the poslog processing. |
Release 01.07.2024
Improvements
Area | Description |
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Inventory service | Get recount items API (RTC-39604) Count group API (RTC-39603)
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Stocktaking | Add seasonal storage to stocktaking (RTC-37817) Seasonal storages can be added to an active stocktaking through the "Add seasonal storage" button in the Stocktaking results view.
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Stock status | Stock status view performance (RTC-30587) The performance of the Stock status view has been improved, and timeouts should no longer occur.
In the Stock status grid, the default filtering of item identifier columns (GTIN, SKU, Item number) has "Starts with" as default filtering type. |
Item transaction | Internal transfer (RTC-34839) When the sending store does not have a GLN specified, the internal transfer creation is blocked, and an error message is shown to the user. Seasonal storage (RTC-40971)
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Release 11.06.2024
Import Count lists from Excel
Count lists can be imported from Excel. From the Count Lists overview, an empty count list template can be downloaded.
The buttons for Export empty template and Import count list are at the bottom of the Count list page.
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Maximum 10,000 rows can be imported in the same import.
The user is notified when the export and the import is completed.
Seasonal storage
Seasonal storage is a register of items that have been temporarily put away.
These items are still in stock, but not part of the available stock.
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The first Seasonal storage is created with number 100000 and then each next number is incrementally increased by 1. Each seasonal storage can contain up to 10000 items.
Seasonal storages in InventoryService
- /api/SeasonalStorages - fetches all seasonal storages from InventoryService database (without items)
- /api/SeasonalStorages/identifier - fetches details of seasonal storage with selected identifier from InventoryService database (with all items)
- /api/SeasonalStorages/identifier/unpack - unpack seasonal storage with selected identifier, the seasonal storage is marked as unpacked, the put away is reduced for all items from unpacked seasonal storage
Improvements
Area | Description |
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Virtual stock | Store access in Virtual stock (RTC-38065) The user can view and manage Virtual stocks for profiles that the user has access to. |
Stocktaking | Stocktaking view improvements (RTC-40888)
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Stock import | Item identifiers (RTC-41140) All items identifiers (SKU, GTiN, External item number) are unique in EG Inventory Service database, so duplicates should not occur. |
Reason codes | Reason code improvements (RTC-40885)
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Release 23.05.2024
Improvements
Area | Description |
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General | Improvements in item search and grids (RTC-27407) Inventory management has been migrated to the Angular version 16 and Kendo version 13. |
Transaction | Item transactions (RTC-40275) The validation of item supplier information in imported transactions is improved. Stock status and Transactions grid (RTC-34638) The links leading to stock movements are now present in the Item text column instead of the stock quantity columns. "No item text" is displayed in the Item text column if the item text is missing. |
Stock | Inventory flag (RTC-39618) For stores that have not selected "Inventory management in use" in Store management, item transactions and reservations do not update the stock. |
Reports | Transaction type translations in Excel exports (RTC-36967) In Excel exports for Stock movements and Transactions, translations for the Transaction type column are updated. |
Release 10.05.2024
Improvements
Area | Description |
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Transactions | Receipts with both a customer order and added items (RTC-40759) Receipts that contain both sales data and customer order data are processed in Inventory Service. Return from web order in POS (RTC-40396) When items from web orders are returned in a physical store, the return transaction is registered on the physical store, along with an increase in the stock. |
Stock export | Export of placeholder items and stores (RTC-38505) Item transactions and stock values related to items or stores that are not yet created in Chain, will not be exported from Inventory, until the store or item is created.
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Release 11.04.2024
Improvements
Area | Description |
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Stock status | Ordered quantity in Inventory (RTC-40056) The Ordered quantity column in Inventory is displaying the ordered quantity for an item, based on the exported quantity from Procurement. |
Item transactions | Return (RTC-39979) For online returns, the stock is always returned in the original store of the returned customer order. |
Release 26.03.2024
Improvements
Area | Description |
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Item transaction | Line value on transactions (RTC-37776) In the Stock status grid and Transactions grid, there is a column for Line value. This shows the value of the item transaction, price x quantity of items. If there is a weighted cost price on the item, it will show the weighted cost x quantity. If there is no weighted cost, it will show the net price x item quantity. |
Stock status | Dispatch orders from warehouse (RTC-39589) When dispatch orders are fully picked in the warehouse, the stock in Inventory is adjusted in the selling store and picking store. Ordered quantity (RTC-37210) In Stock status, the Ordered quantity column shows the ordered quantity on the item. |
Menu | Changes in the menu (RTC-38977) "Archive" and "Stocktaking results exports" are removed from the menu, as they are not in use/not yet implemented. |
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Release 08.03.2024
Trigger stock export manually
All stock values can be manually exported from the stock status view. The 'Export stock values' button is available from the '...' button.
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Info |
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Note: All stock changes during the last 2 days are automatically exported every night. All stock status changes are also exported automatically throughout the day, every 1 minute by default. |
Improvements
Area | Description |
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Stock | Stock Balance import (RTC-39413) If quantity for InStock, Ordered, Reserved or PutAway is not present in the import, then the quantity for these fields are not updated in database. |
Stocktaking | Stocktaking summary (RTC-38837) When a stocktaking has an active status, the user cannot access the Summary step. Creating a new stocktaking (RTC-38703) A new stocktaking cannot be created if there are any stocktakings with one of these following statuses for the selected store:
Finish stocktaking (RTC-37396) Improvements have been made to prevent timeouts, when resetting the stock quantity of Not counted items in a stocktaking. |
Excel report | No duplicates in Stock status Excel export (RTC-39183) The Excel report that is generated from the Stock status view has been improved to not contain duplicate item rows. |
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Release 19.02.2024
Remainder stocktaking
The remainder stocktaking can be used to count items that have not been counted since a specified date.
The remainder stocktaking is typically used for counting items that were not previously counted during cyclic stocktakings throughout the year.
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Area | Description |
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General | Inventory (RTC-38903) The item name length is supporting up to 255 characters. |
Transactions | Tandem items (RTC-38789) When transactions are made on tandem GTINs (alternative GTINs) in POS or InStore App, the stock of the main article ID is updated in Inventory. The transaction is visible in the Inventory grids on the main article ID. |
Stocktaking | Deleting a stocktaking (RTC-36552) A stocktaking with 500,000 items can be deleted without timeout. |
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Release 07.02.2024
Area | Description |
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Transactions | Source system column (RTC-37254) In Transactions and Stock status there is a column called Source system, which shows in which system the transaction was created.
The weighted cost price is retrieved from the database if it is not present in the stock balance import file.
On all returns, the Reason code and Action code can be seen on the transaction in the Transactions overview. |
Stocktaking | Add count group to a stocktaking (RTC-35682) Count groups can be added to an active cyclic stocktaking, with the "Add count group" button at the bottom of the stocktaking page.
Count lists can't be unassigned from a random stocktaking. If a count list needs to be removed, the stocktaking must be deleted. |
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Release 22.01.2024
Virtual stock
With virtual stock, multiple stock locations can be combined and made available for a stock location without its own stock. For example, a web shop without its own stock can have the combined stock values from several selected physical stores, which the customer can get their items delivered from.
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Only one virtual stock can be created per profile, from the active stores that are in the profile. Stores can be added and removed from the virtual stock. The user must input a code of their choice for the virtual stock. The virtual stock code must be unique among other virtual stocks and actual store numbers. Virtual stocks can be created, edited, activated, deactivated and deleted.
Random stocktaking
With a random stocktaking, the stocktaking is empty upon creation.
The items to be included in the stocktaking are added by activating the relevant count lists.
The stock basis is taken from the count lists. If an assigned count list needs to be removed, the stocktaking needs to be deleted - and created again.
Improvements
Area | Description |
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Reason codes | Update of reason codes (RTC-37894) Users with Norwegian or Swedish as selected language, can edit and save reason codes. |
Transactions | Training mode (RTC-38121) Transactions created by cashiers in Training mode are not imported to the Inventory module. |
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Release 12.01.2024
Recount item
Items in an active stocktaking can be marked for recount, by clicking the three dots on the item line and selecting Recount item. Multiple lines can be selected at the same time.
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Info |
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Note: If the recounted items are added to the stocktaking automatically from a regular count list, the recounted quantity will be added to the previously existing counted quantity. The recount symbol will not be updated. |
Improvements
Area | Description |
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Internal transfer | Export net price on internal transfers (RTC-37779) When creating internal transfer, the items net price is exported if the weighted cost price is 0 (zero) or missing. |
Inventory | Focus in Counted field when editing row (RTC-37548) When editing a row in a stocktaking, the focus is placed in the Counted field when the modal is opened. |
Item transactions | Prices are retrieved when importing (RTC-37252) The net price and weighted cost price is retrieved from the system if they are not present in the transaction import. Import of external reference (RTC-36379) In some of the Inventory file imports, an External reference (number) can be sent on line level. |
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Release 05.01.2024
Area | Description |
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Item transactions | Items not stocked (RTC-36703) The stock of items with disabled stock change tracking is not created nor updated by transactions made through inventory management. |
StockGateway | StockBalance performance improvements (RTC-36061)
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Stock status | Net price in stock status (RTC-36799) In the Stock status overview, there is a column for net price. This column shows the current net price for the item at the given store. The data in this column is updated daily at 4 am, by default. |
Stocktaking | Stock level for not counted items (RTC-36094) When finishing a stocktaking, the user must choose what to do with the items that were not counted during the stocktaking. The user can choose to keep the stock level for these items, or choose to set the stock level to zero. The net price in count list grid is filled for items in manual count lists. Stocktakings with the status "Error creating" can be deleted or scheduled for retry. Stocktaking waste transactions are not exported. Items can be added to an active stocktaking, with the 'Add item' button at the bottom of the page. Only items that are not already part of the stocktaking can be added. In case the item already exists in the stocktaking, the user will be informed and the action must be canceled. |
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Release 12.12.2023
Area | Description |
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Item transactions | Line note on transactions (RTC-36442) The line note on complaint transactions from POS is updated and shown in "Line note" column in transaction grids. The "Line note" column is also available in stock movements' transactions grid.
The "Date" column in the Transaction grids displays the date from the stock balance import file for this type of transactions. |
Stocktaking | Counted value (RTC-36568) "Counted value" column in the stocktaking results view displays the result of Weighted Cost Price * Counted quantity. Stocktaking type is not preselected (RTC-36759) When creating a new stocktaking, the stocktaking type is not preselected. The stocktaking type must be selected by the user. Create and complete stocktaking (RTC-35729) Create stocktaking and complete stocktaking commands are based on service bus triggers. Item hierarchy columns in export of stocktaking to Excel (RTC-36468) Information about Department, Item area and Item Group is included in the stocktaking result Excel file.
If a stocktaking creating process fails, the user is notified that the stocktaking was not created. Notifications (RTC-34474) When the closing process is successful, the user is notified that the stocktaking was completed. The message contains link to the finished stocktaking. If a stocktaking closing process fails, the user is notified that the stocktaking was not finished. The closing process can then be retried from the stocktaking's result view. Prices in stocktaking (RTC-36024) Retail price and price for items from count groups are correctly displayed for newly created stocktakings. |
System | GetStock performance (RTC-32832)
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Release 04.12.2023
Area | Description |
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Item transactions | Fix: Goods receipt for Internal transfer (RTC-36335) Goods receivals for Internal transfers, that are generated after finishing picking orders, are properly displayed. |
Stocktaking | Count group in stocktaking results (RTC-35461) The count group column in stocktaking results grid displays from which count group the item came from. Delete items (RTC-36098) Items can be deleted from the active stocktaking. Stocktaking waste transactions (RTC-36006) Stocktaking waste is the transaction type for stock adjustment" when updating the stocktaking result. The quantity column in transaction grids displays the deviation in quantity for this transaction, and the "In stock" column in stock movements transactions grid displays the counted quantity. If the item's stock is not tracked, both columns will contain the counted quantity. Stocktaking for items not stocked (RTC-36006) While creating a stocktaking, if an item from basis doesn't have stock change tracking, it will have stock quantity of 0 in the basis. Retail price (RTC-36022) Unit price is renamed to Retail price in stocktaking's result view. Edit counted quantity (RTC-36011) Counted quantity can be edited on the item line level in active stocktakings. |
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Release 27.11.2023
Virtual (aggregated) stock
Virtual stock locations can be defined manually in the database. The number of the virtual stock location should be different than any store number.
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Changes for virtual stocks are exported each minute as Inventory.VirtualStockStatus.Export event. The stock for each item in this event is the aggregated stock from all stores that are belonging to the same virtual stock location. More about this event can be found in the export part of the Inventory Service swagger.
Improvements
Area | Description |
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Item transactions | Complaints (RTC-36322) When a return transaction with damage flag equals to True, a sale transaction with positive quantity and a complaint transaction is created for this return transaction. There is no change in the item's stock. |
Stocktaking | Stocktaking results grid (RTC-35995)
The stock and waste reports can be created for completed stocktakings from the stocktaking results view. The stock report includes all results with positive counted quantity, and the waste report includes all results with deviation in value. Delete stocktaking (RTC-36346) Only stocktaking with status 'Active' can be deleted. Default store selection for a count group (RTC-35946) When the user has access only to one store, team or profile, it is selected by default for corresponding store level option while creating or editing a count group. Selecting count lists (RTC-36467) Selecting one or multiple count lists in the grid activates the "Activate selected" button. |
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Release 20.11.2023
Area | Description |
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Item transaction | Created date (RTC-36020) "Created date" column from transaction line is added to the stock movements grid. |
Stocktaking | Fix: Count group picker (RTC-35945) The count group picker in New stocktaking view is no longer hidden when the user has access to a single store. Cost price (RTC-35463) When updating count lists from API, it will either update the cost price based on value from 3rd party, or if zero, use the existing cost price in Inventory module. Only one active stocktaking per store (RTC-35889) Multiple clicks are blocked for any button that saves/creates data in the Inventory module. |
System | Terminology update (RTC-35669) The price terminology in Inventory is unified with other services:
If POSLog processing fails for a transaction, the POSLog is saved in FailedPoslogs folder in Inventory container. Failed poslogs are reprocessed at night. PosLogProcessor job: When there is no event created for processed batch then job execution gets CompletedWithNoEffect status.
Sale return event are handled when there is a reason without reason name in the POSLog. Transaction update (RTC-35956) If POSLog with empty POSProduct (empty string value '') is published to batchtoprocess topic, then POSLogProcessing job will set 'POS' as SourceSystem for this transaction. |
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Released 10.11.2023
Area | Description |
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Export | Export of daily stock status (RTC-35561) All changes to stock on a particular day are by default exported to third-party services every night, default by 01:00 AM in UTC time. This can be disabled or changed to another time of day. |
Inventory API | Last stocktaking date for item (RTC-35525) The stock status export includes the date of last stock counting in item data. |
Stock status | Customer order reservations (RTC-35153) Reservations from dispatch and Click-and-Collect orders are properly handled in Inventory. When picking orders are completed stock and reserved quantity are properly reduced in proper stores. |
Stocktaking | Last stocktaking date for item (RTC-35525) The date of when the item was last stock counted is tracked and displayed in the stock movements view. Delete stocktaking (RTC-35473) An active or completed stocktaking can be deleted from the Stocktaking results view. Once per day, all stocktakings with status deleted will be removed from the system. By default this job does not delete old stocktakings (15 months older than today's date). Stocktaking results view improvements (RTC-35473)
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Released 24.10.2023
Area | Description |
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Import | Fix: Update of suppliers item number (RTC-35398) Supplier Item No is saved in for StockAdjustment transactions from InStore App or from 3rd party. |
Item transactions | Cost price in manual created transactions (RTC-33105) The cost price of an item is displayed in the new transaction modal and saved for manually created transactions. |
Inventory API | Get stock (RTC-32910) When GetStock request is sent for store-item combination that does not exist in Inventory.Stock database, returned stock values are equal to 0. |
Stocktaking | Access control (RTC-34732)
Sorting of stocktaking (RTC-35454) Stocktaking grid is sorted by created date and time from newest to oldest by default, "Date" column is renamed to "stocktaking date". Cyclic stocktaking (RTC-32826) The items that will taken to the stocktaking are based on the count group selection during new Cyclic Stocktaking creation process. |
Transactions | Sorting of reason codes (RTC-33901) When creating new transactions, reason and Action codes are sorted ascending by code. |
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Release 06.10.2023
Area | Description |
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Inventory API | Import API description (RTC-34085) Each transaction have a short description. Required field are marked with red asterisk in schema view. |
Reason codes | Transaction types (RTC-35020) Reason code label, that is displayed above types of transactions in Reason Code register view, is named "Transaction types". Reason and action codes for return (RTC-34517) Reason and action codes can be defined for "Return to stock" transaction type. |
Stocktaking | Finish stocktaking (RTC-34666) When finishing the stocktaking, the user is moved to the stocktaking result view with status "Closing". "Status" column (not used) is removed from stocktaking result view. Export to Excel (RTC-34622) "Export to Excel" button is always active. When there are more than 100 000 rows in the filtered view, a message is displayed to the user. Stocktaking values are aggregated (RTC-34564)
Stocktaking results header (RTC-34564) Fix: The stocktaking status header is displayed after page refresh in count lists tab. Fix: Add count lists for inactive stocktaking (RTC-34588) When user is trying to add count lists to inactive stocktaking, proper warning notification is displayed |
System | Changes in menu (RTC-35019) Transactions log submenu is renamed to Transactions. |
Transactions | Cost price and supplier item no (RTC-34478) Cost price and supplier item no. columns are filled based on event's data. When cost price is empty in the message, then it is replaced by weighted cost price from stock. When supplier item no. is not defined in the event, then it is empty in the grid as well. |
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Release 21.09.2023
Area | Description |
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Count groups | The user can create new/manage count groups (RTC-32440) Count group can be assigned to:
Items can be assigned to the count group in three different ways:
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Inventory API | Cost price (RTC-33436) GetStock method is returning in response the newest item's net cost price, when weighted cost price is equal to 0. |
Item transactions | Created date column in Transaction log (RTC-34481) The created date column is available in the Transaction log, which informs when the transaction was created in the system.
When the user makes an internal transfer, the stock in sender store is decreased and a purchase order is created in the Procurement module. After the order is completed and goods are sent, the stock in recipient store is increased. Filtering panel improvements (RTC-33514)
Excel export improvements (RTC-33514)
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Stocktaking | Export stocktaking results to Excel (RTC-33821) The stocktaking result can be exported to Excel using the Export to Excel button in the stocktaking view. Export count list lines to Excel (RTC-34173) The data from the count list details grid can be exported to Excel. Stocktaking result view (RTC-32780) Stocktaking result view contains:
Active periodic stocktaking can be finished (RTC-31842) The counted items (for now only from assigned count lists) are included in Stocktaking Stock Adjustment transactions and their stock value are overridden with counted quantity from stocktaking. The information of this transaction can be found in the stock movements view of updated item. |
System | Date display improvements (RTC-34481) In all inventory grids, the date display is unified and depends on user's regional settings. |
Transaction log | Cost price for stock adjustments (RTC-34251) Cost price is read from existing contract for stock adjustment and is displayed in transactions log. |
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Release 08.09.2023
Area | Description |
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Item transactions | Return damaged item as Breakage (RTC-34281) When returning damaged item, breakage with proper reason/action codes is created. |
Reason codes | Fix: Sorting by reason code type (RTC-33932) Sorting by Type column in the reason code grids works properly. |
Stocktaking | Stocktaking grid (RTC-32778)
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System | Number display in grids (RTC-33064)
Localization improvements (RTC-33936)
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Transactions | Fix: Transaction log grid (RTC-33932) The Owner column is renamed to User, and the translations for this column are updated. |
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Release 18.08.2023
Area | Description |
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Item transactions | Item transaction linked to user/cashier (RTC-30632) "Owner" field contains username of transaction creator for transactions created in Inventory (or Procurement) module. For transactions imported, cashier number is displayed in "Owner" column. |
Stocktaking | Export old stocktaking results to Excel (RTC-31843)
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Release 31.07.2023
Area | Description |
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Item transactions | Improvements for inventory grids (RTC-32289)
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Transaction log | Link from transactions log to stock movement (RTC-31604) The user is able to move from transactions view to the stock movement view by selecting a link from quantity column. |
System | GLN for stores (RTC-30062) Store GLN is displayed in the Inventory management - "Store GLN" and "To-From Store GLN" columns, depending on the view. Store GLN is also exported to Excel by "FileExporter" job and to JSON file by "Export" job, when there are some changes in the stock occurring (e.g. new transaction). Improvements to store, color and size pickers' behavior (RTC-32716)
Minor improvements to the "New stocktaking" view (RTC-32716)
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Release 19.07.2023
Area | Description |
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Internal transfer | Display To-From Store with store number and store name (RTC-31977) "To-From Store No." and "To-From Store Name" columns in stock transactions were merged into one, named "To-From Store" displaying store number and name. "To-From Store No." column in transactions log has been changed into "To-From Store" which displays store number and name. All of those changes were applied also for transactions exported to Excel |
Stocktaking | Add count list to stocktaking (RTC-31826) Single count list or multiple count lists can be assigned to the active stocktaking.
Import of count lists (RTC-31822) Count list created in POS and InStore App are imported to the Inventory module via POSLog transactions. The count list can be directly published to the BatchToProcess via file service as proper Inventory.CountList.Import json files. A count list can contain a maximum of 10 000 lines. |
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Released 04.07.2023
Area | Description |
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Inventory API | Number of decimals on stock quantity returned from inventory service (RTC-32939) Inventory service returns the same values on stock quantity as in the Inventory database, but with removed decimal zeros at the end. It works for all available units. |
StockGateway API | Cost price and stock value are properly returned in get stock response (RTC-31945)
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Stocktaking | User permissions for stocktaking (RTC-31445) Permissions for stocktaking can be defined for user roles. Stocktaking beta version (RTC-31493) Inventory module contains grids for stocktakings and stocktaking result. Please note that this is an early beta version of this feature, and that stocktaking will be ready for acceptance test later in 2023. |
Stocktaking - beta version | Stocktaking proof of concept contains (RTC-31751)
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Released 15.06.2023
Area | Description |
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Export | Export of weighted cost price (RTC-30450) Weighted cost price (WCP) is exported separately. If there is only change in stock (at least one of these columns: QuantityInStock, QuantityReserved, QuantityOrdered, QuantityPutAway, LocationId) without affecting WCP, then only stock status is exported. If there is only change in WCP, then only WCP is exported. If WCP=0 or it is changed to 0, then WCP is not exported as well. |
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Released 05.06.2023
Area | Description |
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Item transactions | Item transaction grid improvements (RTC-25534) The following changes were implemented:
Order numbers (RTC-32261) OrderNo, SupplierOrderNo and ExternalOrderNo from GoodsReceipt transaction are properly saved on ItemTransactionLine level in InventoryService database. |
System | Cleanup job (RTC-31439) InventoryDataCleanup job is included in the InventoryIntegrationPackage. Using default settings, transactions references older than 3 days are cleaned up once a day. Main supplier (RTC-31492) Main supplier is assigned and displayed for every transaction created. |
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Released 31.05.2023
Goods receipt
Goods receipt created when submitting deliveries in Procurement module is updated in Inventory.
Update of reserved quantity from customer orders
POSLogProcessor job from InventoryIntegrationPackage is processing POSLogs with Customer Orders. Based on those POSLogs, job creates and publishes Inventory.Reservation.Import events which contain customer order data.
ItemTransactionImport job is importing and saving Inventory.Reservation.Import events into the staging tables in Inventory Service database.
Updated of reserved quantity
ItemTransactionMerger job from InventoryIntegrationPackage has been extended with new merger that process Inventory.Reservation.Import events. It saves and updates data in Reservation tables.
This merger updates Reserved and InStock quantities on stock level.
When there are changes in InStock quantities, then Sale transaction is created with items that have updated stock.
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Release 16.05.2023
Area | Description |
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Item transactions | Update of item transactions (RTC-31113) If both identifiers StoreNumber and ExternalStoreNumber are present in item transaction event, then store will be resolved by store number only. Only StoreNumber is extracted from POSLog to the item transaction events. External store number is skipped in POSLogProcessing. Update of item transactions (RTC-28028) External refences of processed transactions are stored in [Inventory].[ProcessedTransaction] table. |
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Release 09.05.2023
Calculate weighted cost price
Incoming goods receipt transactions trigger recalculation of weighted cost price basing on this formula:
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- Item has some stock, but for some reasons weighted cost price was equal to 0;
- Stock quantity was negative;
- Item did not have stock in given store yet.
Improvements
Module | Description |
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Item transaction | Reason/action codes and language changes (RTC-30933) Reason code field is displayed above action code in the new transaction modal. |
Stock status | Minor improvements to the Status tab in Stock details view: (RTC-30737)
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Transactions logs | View item transactions per item (RTC-31429) Stock balance and sales transactions are shown in view for transactions per item, also when using filter panel. View transaction log (RTC-31429) Imported stock balance and sales are not available in filter panel for transaction log. |
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Release 24.04.2023
Permissions for item transactions per store
In User Management there are permissions for "View transaction" and "Manage transaction" per item transaction type. Permissions are assigned to roles on store level.
Improvements
Module | Description |
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Stock transactions | Fix: Show store number and name (RTC-30944)
Supplier number is displayed in both Transaction log and Stock status views - grids were displaying wrong value from database (OrganizationNumber instead of ExternalSupplierNo). |
System | ItemService integration (RTC-31163) When InventoryService was receiving ItemChanges event with ItemReceiptText longer than 50 characters, then item merger was failing with conflicts in data model. Change in ItemReceiptText length from 50 to 255 resolves that problem. |
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Release 12.04.23
Handle reason/action codes for returns in sales
To avoid storing all sales we aggregate sales to see the stock changes in batches with exception for items sold with serial numbers. When return is done with damaged flag set, we treat that return as breakage, in result such return will create two lines, one as sale with amount increasing the stock, and one breakage line decreasing it again.
Improvement
Module | Description |
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Item transaction | Transaction logs performance (RTC-30106) Transaction logs performance is improved significantly. The view is loaded under 500ms for 5 millions of rows in database. |
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Release 27.03.02023
Module | Description |
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Transactions in user interface | |
Stock Status | Stock Status per item (RTC-29742) Providing a view displaying stock status for a given item that consists of three main sections: Stock status, Model and Other store. In Stock status section, a picker for selecting store is available. There is also a donut chart with key values: number of items reserved, put away, available and in stock. Model section is presented when the model contains multiple colors and sizes, otherwise, it is hidden. There is a possibility to switch between models using color/size field as a dropdown list. In Other store section stock statistics are shown for the given item in other stores. |
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Release 13.03.02023
Module | Description | |||||
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Stock status | Reservation field in Stock Status (RTC-29562) Field "Quantity reserved" was added to the Stock Status grid | |||||
Transaction in user interface | Create breakage from user interface (RTC-30097) New transaction modal was implemented and it allows user to create breakage transactions in the UI from "Stock status" and "Transactions log" views | |||||
Stock Status per item | Grid view of movements for items in store (RTC-27199) Providing a grid to see item transactions for a specific item in a selected store. The functionality is implemented using a hyperlink on Available quantity on Stock status view that takes users to a second level (tab Status), where they can choose store using the picker. In that place, user can also change color and size of selected item using pickers in breadcrumb if these properties are available. After that transactions for this item in a selected store are displayed in grid (tab Transactions). Implemented grid contains columns compatible with Figma. The ability to export transactions for item in a selected store to excel has also been added.
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Release 27.02.02023
Module | Description | ||||||||||
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Store integration extension | Store Management (RTC-29835) Adding new columns: Gln and UseInventory to [Chain].[Store] table and new table [Chain].[StoreRelatedStore] in order to link stores with other related stores. After creating or updating the store in Store Management, values of Gln, UseInventory flag, related stores, profile, region and teams are correctly updated in the database based on information from an event from StoreService. | ||||||||||
Export of data | Export item transactions (RTC-27531) "Export" job has been extended to export item transactions. It publishes Inventory.ItemTransaction.Export events to both - BatchToProcess service bus topic and BatchToProcess container in Azure storage.
Export stock status (RTC-29213) "Export job" has been extended to export stock. It publishes Inventory.StockStatus.Export events to both - BatchToProcess service bus topic and BatchToProcess container in Azure storage.
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Merger job | Internal transfer transaction merger job (RTC-27672) ItemTransactionMerger support for Internal transfer transactions has been added. Internal transfer transactions are created in InventoryService and stocks are properly updated:
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Release 30.01.2023
Module | Description |
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Transactions | Non stock items (RTC-28406) |
Reason Codes | Reason code resolved (RTC-28645) Export reason codes (RTC-25406) Export job right now supports reason codes, it publishes "Inventory.ReasonCode.Export" event to both "BatchToProcess" bus topic and "BatchToProcess" container in Azure storage. |
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Release 16.01.2023
Module | Description | |||||
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Transactions | Skip transactions (RTC-28556) Complaint transaction processing (RTC-27673, RTC-27340) Support for Internal use transaction has been added to PosLogProcessing and ItemTransactionImport jobs. ItemTransactionMerger support for Complaint transactions has been added. Complaint transactions are created in InventoryService and stocks are properly updated. Stock Status (RTC-27495) This transaction type overrides stock value instead of adjusting the stock values. | |||||
Reason Codes | Repository for reason codes in UI (RTC-23663) Countries" parameter which was added, allows user to modify languages displayed in reason codes register. Default value of the parameter is "[]". Then, in reason code creation view, only English name and description are displayed. Supported countries are: NO, SE, FI, DK, AT, DE, EE, PL, NL, BE.
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Release 16.12.2022
Module | Description |
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Stock Update | Stock update (RTC-27312) ItemTransactionMerger job has been extended with stock update logic:
The stock changes from StockAdjustment transactions are properly registered and updated in InventoryService. |
Sales transaction | Sales transaction processing (RTC-27311 ,RTC-27313) Added support of processing receipts with type sale, updating stock in Inventory module based on sold amount. Support for Sale transaction has been added to POSLogProcessing and ItemTransactionImport jobs. The items' stock is properly updated in InventoryService based on sales transaction data. |
Internal Use | Internal Use transactions (RTC-27671) ItemTransactionMerger support for InternalUse transactions has been added. InternalUse transactions are created in InventoryService and stocks are properly updated. |
Grid View | Grid view of items and stock levels (RTC-22717) Added grid view allows user to see, filter and sort stock of items. |