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
- Log into the Organization's VMS.
- Navigate to Analytics.
- Select Vending Operations
- Select Machine Inventory Changes
- Select Date Range
- Press the green play button to pull the report.
URL of Report
your-org.parlevelvms.com/reports/day-inventory-changes
Table Columns
- (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.