Product inventory reconciliation report
The Product inventory reconciliation report shows the quantity of products and batches in your Product inventory at the beginning and end of a specified date range and the changes that have occurred between these dates.
You can set up and export the report to show the date range and product types you want and filter out expired or empty products.
|
-
Only batches that have a purchase date or have been used, sold or written-off during the selected date range appear in the Product inventory reconciliation report.
|
Watch this video for an overview of how to set up and run the Product inventory reconciliation report in FarmIQ:
View and export the Product inventory reconciliation report
To view the Product inventory reconciliation report
click here
-
On the Navigation bar, click Report centre.
-
Click Other.
-
Find Product inventory reconciliation and click View.
-
The Product inventory reconciliation report is shown for the current month.
-
Each product type is on a different tab.
-
To see batch information, click the expansion arrow to the left of the product name.
-
To change what is shown on the report, click the filter.
-
To change the date range, select a different Start date or End date or use Quick date select.
-
Select the product types you want to include when you export the report from the Product type dropdown box.
-
Clear the Show expired checkbox if you do not want expired products to appear on the list.
-
Clear the Show empty checkbox if you don't want products with zero quantity to appear on the list.
-
Click View.
-
To see batch information, click the expansion arrow to the left of the product name.
- Click Export to download a PDF or Excel file of the report.
Find out more