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ClariFi Warehouse Management

Advanced warehouse operations on stock you can audit.

Core balances can be right while pick, pack, transit and exception handling still live in chat and spreadsheets.

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Who this is for

Teams that need deeper WMS workflows after core inventory is working.

How it works

  1. Start from warehouses, bins and opening balances
  2. Run transfers with transit states that preserve company quantity
  3. Use counts and approved adjustments for discrepancies
  4. Label advanced outbound tasks where your workspace supports them
  5. Review receipt-based expiry exposure before replenishing

Verified capabilities

  • Same stock ledger as Inventory Management
  • Transfers with transit and completion that preserve company totals
  • Counts with approval before balance change
  • Receipt-based expiry exposure reporting where implemented

Package boundaries

  • Same entitlement as ClariFi Warehouse & Inventory
  • POS remains optional

Demonstration

Labelled sample figures

Sample distributor demo: transfer A→B in transit then complete, company total unchanged. Illustrative only.

Open labelled demo

Commercial availability

Quote-first via the Warehouse & Inventory offer. Canonical page: Inventory Management.

What this helps you do

  • Deepens Inventory Management without a second stock system
  • Keeps POS and procurement on one movement ledger when entitled

Limitations

  • Not every advanced outbound screen is verified for every industry
  • Expiry is receipt-based exposure, not a full compliance suite claim

Related

FAQ

Is this a different product from Inventory Management?
No. It is the advanced WMS story for the same Warehouse & Inventory offer. Prefer Inventory Management as the canonical product page.

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