pakpak

Receiving & reconciliation

Inbound stock, counted and reconciled.

The problem

Receiving is a spreadsheet and a prayer

Inbound counts live in someone's notebook, discrepancies surface weeks later, and stock drifts out of sync with the store.

How PakPak helps

A real receiving workflow

Create receiving sessions, count against expected quantities, flag anomalies for admin review, and reconcile stock back to the catalog.

  • Supplier-linked receiving sessions
  • Anomaly detection with admin approval
  • Stock reconciliation with before/after snapshots

Counted

Tap-count inbound items against the expected manifest.

Reviewed

Anomalies route to an admin before stock is touched.

Reconciled

Push verified quantities back with a full audit trail.

Related

Bring every store into one warehouse