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Microsoft Dynamics RMS (Archived)

How to prevent and track inventory thefts when using transfer in/out

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Dear RMS experts,

I would appreciate for your kind suggestions/tips on how to prevent & monitor inventory thefts (Internal Thefts) by using transfer in/out functions. 

I've been using Microsoft RMS for just about a year now, mainly for ringing customers and analyzing sales reports.  I'm about to start using transfer in/out functions for my four locations.  I've read F1/Help on how to use transfer in/out features but I'm not quite sure what the best business operation/process would be to prevent inventory thefts (internally) while moving from a location to another (Interstore Transfer).  Please consider the following scenario: 

1. Store A places an "interstore transfer in" order from Store B for 12 pcs of certain products.

2. Store B ships out 12 pcs of products by issuing "transfer out" order automatically created from the "interstore transfer in" from Store A.

3. Our delivery guy or any employees at Store A steals 6pcs.

4. Store A only receives 6pcs.  When a manager actually scans 6pcs and press receive, Store Manager would ask if Store A wants to change the quantity ordered 12 pcs to the actual received quantity (6pcs) and close the order.  The manager clicks yes.  The transfer order becomes "closed" with Qty Ordered and Received as 6.

In the above scenario, what would be the best step by step business procedures I should place to prevent internal thefts.

Also, after the transfer in order becomes closed as the above example, how do I still monitor the discrepancies among Qty Ordered, Qty "Actually" Shipped, Qty "Actually" Received? Is there any report/function that I can use to easily spot this kind of scenario with red flags? 

Your suggestions/tips would be greatly appreciated.

A

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  • TheNeos Profile Picture
    1,347 on at

    It sounds like everyone can manipulate the system as they please.

    When orders and transfers are closed the shipped and received qty is recorded as the ones closed. Changes I don't think can be traced.

    Why not make sender store a supplier and receiver store a customer and issue invoices instead of transfers.

    The invoices can not be altered after they created and you have receipts in journal.

    As for delivery guy the sender should pack the stock and the guy should handle the box, not what's inside it.

    Make one person accountable for ordering and receiving on each store.

  • Community Member Profile Picture
    on at

    With you suggestion, we've decided to use both purchase order and transfer order to meet our needs.  Thank you.

    I found out that HQ Manager->View->Inventory Transfer Status->Clicking one of the transfer orders->Match shows discrepancies between sending and receiving stores.  Do you know how to best utilize this feature? I wish I could filter only the orders with different match values but I'm not sure whether it's even possible or not.  Or, whether there's a separate report that analyzes the match values.

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