Store Transfers move stock between locations — a downtown shop to a trailhead pop-up, the main warehouse to a satellite store, or even from one aisle’s bin to another if you track bin locations. Nothing hits the GL (you still own it all); only the location counts change.

How to get there #
Menu: Inventory → Store Transfers
Direct URL pattern: https://yourdomain.com/?bizRt=phreebooks/main/manager&jID=15&mgr=1
Prerequisite: locations must exist #
Before you can transfer, set up your locations under Admin → Settings → Locations. Most small shops have one location by default (“Main”) and never need more. Multi-site operations add one per store.
The transfer lifecycle #
- Create — at the sending location, pick the destination and the items/qtys going. Status = Draft.
- Ship — when the goods leave. Inventory at the sending location decreases; a “Transit” quantity is created.
- Receive — at the destination, mark items received. Transit quantity is cleared and inventory at the destination increases.
Between Ship and Receive, the stock is in transit — visible on reports but not sellable from either end.
Creating a transfer #
- Click New.
- Pick the From Location (defaults to your default) and the To Location.
- Add lines: SKU, qty. Bizuno shows the From-Location on-hand next to each line; a red flag means you don’t have enough.
- Optional Reference — “Pop-up tent for Saturday’s trailhead event” or “Restock downtown after weekend sale”.
- Save as Draft.
Shipping #
When the stock physically leaves the sending location, open the draft and click Ship. Bizuno:
- reduces the From-Location’s on-hand,
- records the quantity as Transit,
- and prints a transfer document you can include with the goods.
Receiving #
At the destination, open the transfer and click Receive. Bizuno:
- clears the Transit quantity,
- adds the quantity to the To-Location’s on-hand,
- and closes the transfer (Status = Complete).
Important: Only receive what actually arrived. If a box is short, receive the smaller quantity and open a second Adjustment transaction for the missing units with reason “Transfer shrink” — that way the discrepancy shows on reports instead of disappearing.
Costs on a transfer #
No GL impact. Cost layers move with the stock — a bike that was in a $1,400 cost layer at the downtown store is still a $1,400 cost layer at the trailhead store after transfer.
Tips for Ridgeline Cycles #
- Use a transfer — not a “use-and-replace” adjustment — whenever stock physically moves between locations. Adjustments leave a GL trail; transfers don’t.
- Keep Transit quantities visible on your Inventory Dashboard for a few weeks after a big event — stuff that “never arrived” is always a box in somebody’s trunk.
- For pop-up events, create the transfer on Friday, ship Saturday morning, and receive back any leftovers as a reverse transfer on Sunday. The audit trail writes itself.
Where to go next #
- Stock Levels — check per-location counts after a transfer.
- Adjustments — record shortages between Ship and Receive.
- Admin → Locations — set up additional locations.