Inventory
Never Diminishing Products
Never Diminishing Products are product codes in Unleashed that do not require physical inventory to be stocked. These are used for commonly incurred charges such as freight, taxes, or shipping fees. You can mark existing products as 'never ...
Manage and view products
About View Products The View Products page enables you to view a list of all your existing products and several details about those listed products. You have the ability to sort the products each product by name, using the columns available to you. ...
Product Change Codes
Single Product Code change page How to change the code for a product Choose the product to be changed in the first field marked product. You can then enter the new Product code in the *New Product Code field and click Save for this to be changed. All ...
Markup Price Updates
About Markup Price Updates The Markup Price Update page enables you to set sell price of products based on a pre-defined markup percentage. Using the feature you can mark up from the Average Land Cost, Last Cost, Default Purchase Price, and Default ...
View Stock Counts
About Stock Counts The (View) Stock Counts provides a list for you to view all of your stock counts and filter your search based on their status and/or warehouse location. This page also allows you to add a new stock count and import stock counts. ...
Create Stock Count
About the Create Stock Count page The Create Stock Count page provides you with the ability to select what products you want to include in your stock count before freezing them to do the actual count. Stock Count page Functional Descriptions Field ...
Create Stock Count Entries
About the Stock Count Entry page Once the count has been created, your products display in the grid with no counts entered. This page is the last part of the Stock Count process, from this page you enter your count quantities and complete the stock ...
How to manage Consignment Inventory
How do I handle consignment stock in Unleashed? Consignment stock is stock that has a business or person that does not own the specified stock. In an accounting perspective, such stock has neither been sold or part of the owner's inventory. There ...
Inventory Overview
Overview Inventory involves managing your product levels and efficiently getting your stock in and out of the system accurately. Maintaining up to date product data is imperative to the success of the system. In Unleashed, the Inventory module ...
Stock Adjustments
About Stock Adjustments The Stock Adjustment page enables you to enter details of a stock adjustment which in turn updates your stock levels/values in Unleashed and your accounting provider. This page is accessed by going to the stock adjustment List ...
View Stock Adjustments
About View Stock Adjustments The View Stock Adjustment page enables you to view all the Stock Adjustments whether they are; active, or complete. You can also create Stock Adjustments from this page by clicking on the Add Adjustment button. For ...
Manage/View Warehouse Transfers
The View Warehouse Transfer page enables you to view all Warehouse Transfers. By default, this page displays Warehouse Transfers with Open status. Viewing Warehouse Transfers Go to Inventory | Transactions | Warehouse Transfers. From the Status ...
Add Warehouse Transfer
If you want to transfer stock between warehouses, you can add a warehouse transfer. For more information about adding and setting up warehouses, see Warehouses. You can also import multiple warehouse transfers. Adding a Warehouse Transfer Go to ...
Create New Products
Adding new products and displaying lists of products for maintenance You can add a new product using the Add Product menu. Alternatively, you can also go to the Product List page under Inventory | Products to edit and/or view a list of existing ...
How do I get my current stock into Unleashed?
Import your Products on a single separate spreadsheet. Once completed, you can then import your Stock on Hand on a single spreadsheet. (You can only import stock on hand once per product.) Import your opening balance manually into your accounting ...