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Parlevel - Machine Inventory Changes Report
Updated

Purpose

This article outlines the Machine Inventory Changes report that shows an overview of all inventory changes for all point of sale assets serviced on a specific date. Each row is a separate asset.
 

Process

  1. Log into the Organization's VMS.
     
  2. Navigate to Analytics.
     
  3. Select Vending Operations
     
  4. Select Machine Inventory Changes
     
  5. Select Date Range
     
  6. Press the green play button to pull the report.
     

URL of Report

your-org.parlevelvms.com/reports/day-inventory-changes

 

Table ColumnsParlevel - Fill Rate Report Columns.jpg

  • (Unlabeled) Column 1: Sort by Up / Down (increase / decrease) inventory change.
     
  • Route: The asset's assigned Route.
     
  • User: Username of person who changed the inventory.
     
  • Location: Asset's assigned Location.
     
  • Asset: A unique, customizable ID assigned to the asset.
     
  • Machine / POS: Asset name. Clicking the name opens the asset's model.
     
  • Slot: Product slot ID (numbers formatted '#-#' indicate 'row number-column number').
     
  • SKU: (Markets Only) The UPC or barcode number scanned into the VMS.
     
  • Product: Name of product assigned to the Slot.
     
  • Old Qty: The original Product quantity in the Slot before the inventory change occurred.
     
  • New Qty: The new Product quantity in the Slot after the inventory change occurred.
     
  • Timestamp: The timestamp of when the inventory change occurred on the set date.