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Transfers move stock from one store to another. The Centrale drives the full lifecycle — request, ship, receive — and surfaces any discrepancy between what was shipped and what arrived.

What it is for

  • Rebalance stock across the network (send surplus to where it sells).
  • Fulfil demand identified in network availability.
  • Keep an auditable record of stock in transit.

Key screens and actions

1

Request a transfer

Create a transfer from a source store to a destination store, with the lines (units and quantities) to move.
2

Ship

Mark the transfer shipped when the stock leaves the source store; it becomes stock in transit.
3

Receive

The destination store confirms receipt, adding the stock to its on-hand quantity.
4

Reconcile discrepancies

If the received quantities differ from what was shipped, the discrepancy view shows the gap for follow-up.
A transfer can also be cancelled before it completes. The transfer list and workflow views track each transfer’s state through the lifecycle.

In the API

Transfer writes require the transfer manage scope — see roles and permissions. Full request shapes are in the API Reference.