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Release 27.11.2023

Virtual (aggregated) stock

(RTC-35724)

Virtual stock locations can be defined manually in the database. The number of the virtual stock location should be different than any store number.

Each profile (country) can have assigned only one virtual stock.
Each store can be in only one 'Virtual Stock' at the time.

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

AreaDescription
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 "Kept in stock" column is renamed to "Track stock level", and displays whether item has stock change tracking enabled.
  • The "Out of scope" column is hidden by default.


Stock and waste reports (RTC-36081)

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.



Release 20.11.2023

AreaDescription
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:

  • The "Cost price" column in Transactions grid is renamed to "Net price". "Weighted cost price" column is added to the grid.
  • The "Cost price" column in Stock movements grid is renamed to "Net price".
  • The "Cost price" column in Stocktaking results grid is renamed to "Weighted cost price". "Net price" column is added to the grid.
  • The "Cost price" column in Count lists grid is renamed to "Weighted cost price". "Net price" column is added to the grid.
  • The new transaction modal displays "Weighted cost price" for item instead of "Net price".


Error handling 
(RTC-32977)

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.


Error handling (RTC-35898)

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.



Released 10.11.2023

AreaDescription
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.
Stock is reserved in proper store - picking stores for dispatch orders, reserved store for Click and Collect.

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).
The job will delete old stocktakings when parameter "Old stocktaking deletion enabled" value is equal to True.

Stocktaking results view improvements (RTC-35473)

  • The stocktaking action buttons, except Excel export, are visible only in active stocktakings and require "Manage stocktakings" permission.
  • The row menu in grid is visible only in active stocktakings and require "Manage stocktakings" permission.



Released 24.10.2023

AreaDescription
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)

  • The data in Count lists grid is displayed based on user's store access.
  • The data in Count groups grid is displayed based on user's store access.
  • The count group item source picking subpage cannot be accessed if a source was already selected.
  • The stocktaking results page cannot be accessed without ViewStocktaking permission.

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.



Release 06.10.2023

AreaDescription
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".
"Finish stocktaking" button is available in count list tab in stocktaking result view.

"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)

  • The total deviation in value of a stocktaking is calculated and displayed in the stocktaking grid.
  • The following values are displayed in the waste report after finishing a stocktaking:
    • Total deviation in value
    • Total deviation in quantity
    • Amount of items with non-zero deviation
    • Amount of counted items

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.



Release 21.09.2023

AreaDescription
Count groups

The user can create new/manage count groups (RTC-32440)

Count group can be assigned to:

  • All stores;
  • Stores selected by user;
  • Teams selected by user;
  • Profiles selected by user.

Items can be assigned to the count group in three different ways:

  • With item list;
  • With item group list;
  • With item segmentation.
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.


Internal transfer with goods receival (RTC-22728)

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)

  • The transaction type filters from the filtering panel interact correctly with the grid's type filter, and correct data is displayed.

Excel export improvements (RTC-33514)

  • The column order in exported Excel files from Transaction log and Stock movements is equal to the order in the grid.
  • The transaction type filter is no longer shown in the Excel export modal if all types in the filtering panel are checked and grid's type filter is not used.
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:

  • Additional grid columns:
    • Department
    • Item area
    • Item groups
    • Gross profit
  • All the buttons, but without logic, except:
    • Export to excel
    • Add count list
    • Finish stocktaking 
  • Recount logic (flags)
  • Multi-select


Count list functions (RTC-31846)

  • The user can assign a new count list to an active stocktaking through the count list details view and stocktaking's count lists view.
  • The user can unassign an active count list from a stocktaking through the count list details view.
  • The user can manage (add, edit, delete) the item rows in a new count list through the count list details view.
  • The user can delete a new count list through the count lists grid.


Creating stocktaking
(RTC-32781)

  • The stocktaking wizard is replaced with a regular view.
  • The stocktaking creation is processed in the background.
  • The stocktaking name field is properly validated.

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.
Items not counted are not included in those transactions, their stocks are not updated when stocktaking is finished.
All count lists assigned to the finished stocktaking are properly closed.

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.



Release 08.09.2023

AreaDescription
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)

  • The grid is store-scoped. It displays data for stocktakings of stores, to which the user has access.
  • The store column is containing the store number and name.
  • Columns for created and modified date
  • The Completed date column is removed.
  • The deviation column is split into positive and negative deviation columns.
  • The deviation is displayed in value instead of item quantity.
  • The status column works correctly and displays proper values.


Improvements to the Count lists grids
(RTC-33357)

  • The performance of the Count lists and Stocktaking > Count lists grids is significantly improved.
  • The created date column works correctly, and can be filtered.
  • The positive deviation column is properly translated to Swedish.
System

Number display in grids (RTC-33064)

  • All numerical values in grids are formatted with digit group separators.
  • Decimals in grids are displayed with 2 decimal places.


Localization improvements (RTC-33936)

  • The exported Excel file names are properly translated.
  • The reason code type in the Edit modal is properly translated.


Minor improvements to the New transaction modal
(RTC-33936)

  • The user can search for recipient stores by inputting their name or number, while creating internal transfers.
Transactions

 Fix: Transaction log grid (RTC-33932)

The Owner column is renamed to User, and the translations for this column are updated.



Release 18.08.2023

AreaDescription
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)

  • The data from the Stocktaking results export view can be exported to Excel
  • The data from the Stocktaking results details view can be exported to Excel


Minor localization fixes
(RTC-31843)

  • The Excel export modal is properly translated.



Release 31.07.2023

AreaDescription
Item transactions

Improvements for inventory grids (RTC-32289)

  • The performance of Stock movements and Stock status grids is greatly improved.
  • The performance of exporting data to Excel in Stock movements and Stock status is greatly improved.
  • Exporting data to Excel in Transaction log no longer wrongly includes Sale and Stock balance import transactions.
  • The item number column in Transaction log works correctly and displays proper data.
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)

  • User can search for stores by inputting the store name or store number.
  • User can search for colors and sizes by inputting their name.


Minor improvements to the "New stocktaking" view (RTC-32716)

  • The form displays messages for required fields which are not filled.



Release 19.07.2023

AreaDescription
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.
Count list cannot be assigned to the stocktaking:

  • When there is no active stocktaking in store;
  • When count lists from different stores are selected;
  • When it's already assigned to the stocktaking.


Import of count lists (RTC-31822)

Count list created in POS and InStore App are imported to the Inventory module via POSLog transactions.
PosLogProcessor job reads POSLogs with TransactionType="Inventory" and creates Inventory.CountList.Import blobs, that are published to BatchToProcess. Those events are imported to the InventoryService database via StagingImport job.
Finally StagingMerger job reads Inventory.CountList.Import events from InventoryService database and creates Count List in Inventory Module.

The count list can be directly published to the BatchToProcess via file service as proper Inventory.CountList.Import json files.
Details about Inventory.CountList.Import event can be found in the Inventory Service swagger.

A count list can contain a maximum of 10 000 lines.



Released 04.07.2023

AreaDescription
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)

  • Cost price is equal to:
    • Weighted cost price, if it is present;
    • Net cost, if weighted cost price is not present and net cost is present;
    • 0 in other cases.
  • Stock value = cost price * instock.
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)

  • Stocktaking's views (not final)
  • Permissions;
  • Links from stocktakings' view, to the results' view;
  • simple wizard to create periodic stocktaking in selected store.



Released 15.06.2023

AreaDescription
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.



Released 05.06.2023

AreaDescription
Item transactions

Item transaction grid improvements (RTC-25534)

The following changes were implemented:

  • Grid filtering of date and transaction type was added and it is now supported to mix it with panel filters.
  • Transactions log export to Excel is executed by job.
  • Transaction type is exported to Excel as a text.


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.
The job deletes old processed transactions:

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.



Released 31.05.2023

Goods receipt

(RTC-31715)

Goods receipt created when submitting deliveries in Procurement module is updated in Inventory.

Update of reserved quantity from customer orders

(RTC-30095)

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

(RTC-30734)

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.


Release 16.05.2023

AreaDescription
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.
If a transaction comes with already existing external reference in this table, then the processing of this transaction is skipped.



Release 09.05.2023

Calculate weighted cost price

(RTC-30449)

Incoming goods receipt transactions trigger recalculation of weighted cost price basing on this formula:

New weighted cost price = (Stock quantity * Old weighted cost price + Goods receipt quantity * Cost price of the item) / (Stock quantity + Goods receipt quantity) 
Goods receipt cost price will be set to as new weighted cost price (without calculation) when:
  • 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

ModuleDescription
Item transaction

Reason/action codes and language changes (RTC-30933)

Reason code field is displayed above action code in the new transaction modal.
Reason and action code fields are automatically prefilled, if there is only one code active or existing code.
Small improvements in Swedish translations.

Stock status

Minor improvements to the Status tab in Stock details view: (RTC-30737)

  • Donut chart - available part on the chart is thicker than the other parts and value in the middle of the chart is adjusted
  • Displaying numbers - decimals in the table and on the chart are displayed in the same way
  • Size picker in the breadcrumb is no longer cut
  • Pickers for items with no size/color available - removed size/color grid and dropdowns for non-model items
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.



Release 24.04.2023

Permissions for item transactions per store

(RTC-30977)

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

ModuleDescription
Stock transactions

Fix: Show store number and name (RTC-30944)

  • When an item has stock in only one store, then a store label with proper store's name and number is displayed;
  • For store users - store label with proper store's name and number is displayed.

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.



Release 12.04.23

Handle reason/action codes for returns in sales

(RTC-28027)

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

ModuleDescription
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.



Release 27.03.02023

ModuleDescription
Transactions in user interface

Create Internal Use from user interface (RTC-30100, RTC-30101)

New transaction types was implemented in modal and it allows user to create these transactions in the UI from "Stock status" and "Transactions log" views. The transaction types are:

  • Internal use
  • Stock adjustment (increase/decrease stock)
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.



Release 13.03.02023

ModuleDescription
Stock status

Reservation field in Stock Status (RTC-29562)

Field "Quantity reserved" was added to the Stock Status grid

Transaction in UI

Create breakage from UI (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. 


System parameter: "DisplayIdentifier" has been added to [dbo].[ConfigurationParameter] to enable change type of Item identifier displayed in breadcrumb in tab Status.

This parameter can have two possible values:

  • GTIN (default value)
  • ItemNo (i.e. external item number)




Release 27.02.02023

ModuleDescription
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.
The Sale and StockStatusImport transactions are not exported.

"Export" job from InventoryIntegrationPackage needs to be enabled with default configuration (with the scheduled trigger for exporting Item transactions enabled).

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.

"Export" job from InventoryIntegrationPackage needs to be enabled with default configuration (with the scheduled trigger for exporting stock status enabled).

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:

  • items' stocks are reduced in the origin store;
  • items' stocks are increased in the destination store.



Release 30.01.2023

ModuleDescription
Transactions

Non stock items (RTC-28406)
Stock for non stock items, in InventoryService marked as "TrackStock=0", is not updated while processing item or sale transactions. 

Reason Codes

Reason code resolved (RTC-28645)
Reason and action codes are now properly resolved for each transaction type. 

Export reason codes (RTC-25406)
Export job have been added to the "InventoryIntegrationPackage". It exports data that has been modified recently. Job is based on change tracking tables in the database. It publishes data as blobs to the "BatchToProcess" topic. Job is by default executed every minute. 

Export job right now supports reason codes, it publishes "Inventory.ReasonCode.Export" event to both "BatchToProcess" bus topic and "BatchToProcess" container in Azure storage. 



Release 16.01.2023

ModuleDescription
Transactions

Skip transactions (RTC-28556)
Receipts without lines or with all voided lines are skipped and events with those receipts are not published to the Inventory Service database.

Complaint transaction processing (RTC-27673, RTC-27340)
Added support for Complaint transactions when returning defect items. 

Support for Internal use transaction has been added to PosLogProcessing and ItemTransactionImport jobs.
Incoming poslogs with TransactionType="ReturnDefectItem" are properly processed and saved to the staging tables in Inventory Service.

ItemTransactionMerger support for Complaint transactions has been added. Complaint transactions are created in InventoryService and stocks are properly updated.

Stock Status (RTC-27495)
Added new item transaction type: StockStatus

This transaction type overrides stock value instead of adjusting the stock values.
Will be used when adding stock from third party stock master or correcting stock status. 

Reason Codes

Repository for reason codes in UI (RTC-23663)
There are two new views added:
Reason codes register and System parameters. In reason codes view, user can browse, edit and create reason/action codes for: breakage, internal use, stock adjustment, internal transfer and complaint. "

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.

Example of System parameter value is:

[{"countryCode":"NO","isDefault":false},{"countryCode":"SE","isDefault":true},{"countryCode":"AT","isDefault":false},{"countryCode":"DE","isDefault":false},{"countryCode":"PL","isDefault":false}]

where  "isDefault" parameter can be set on true only for one of the country codes. Dutch is common for BE and NL and German is common for AT and DE.



Release 16.12.2022

ModuleDescription
Stock Update

Stock update (RTC-27312)

ItemTransactionMerger job has been extended with stock update logic:

  • When item has stock in InventoryService, then stock for this item in sender store is properly update with stock value from incoming transaction;
  • When item has no stock in InventoryService, then new entry for this item and sender store is created with stock value taken from incoming transaction.

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.
Incoming POSLogs with TransactionType="Normal" and with valid RetailTransaction content are properly processed and saved to the staging tables in Inventory Service.

The items' stock is properly updated in InventoryService based on sales transaction data.
Sales data is read from staging tables, processed and properly saved in the InventoryService database
Item transactions are created in each job's run,  single item transaction has all items with aggregated stocks within single store from all read events.

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. 
File exporter job has been added to the InventoryIntegrationPackage. It exports stock to excel and saves them into blob container named "Inventory"
Note: Function "Export to Excel" requires additional setup before enabled in each environment. 

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