How does inventory reconciliation work in Vin-eRetail?

Vin-eRetail also have the inventory to do the inventory reconciliation once in a day along with the transaction wise inventory updates to make sure that there should be NO inventory discrepancy between Marketplace inventory and inventory present in Vin-eRetail.

 

  1. For the Marketplaces/Webshops providing provision to fetch the inventory from them, Vin-eRetail fetches the inventory of all SKUs from Marketplace, compare it with the inventory of Vin-eRetail and push the inventory for all the SKUs which have discrepancies.

 

  1. For the Marketplaces/Webshops which do not provides provision to fetch the inventory from them, Vin-eRetail push the inventory of all the SKUs once in a day to make sure that there is no discrepancy on any SKU listed on Marketplace.

 

 This inventory reconciliation process is an “add-on” on the existing Inventory sync which works on transaction basis (whenever the inventory of the SKU increased or decreased in the system because of any transaction).

 

User can enable or disable the same from Channel Create/Edit screen as mentioned in the screenshot below: