Manage Inventory Counts

Create cycle counts, resolve discrepancies, run recounts, and schedule recurring counts.

verify without requiring a full physical inventory shutdown. A checks selected wherever they are stored, while a checks everything in selected . A is the difference between the recorded and counted quantity; approving it creates an .

Go to ShipOS → Inventory → Cycle Count (opens the Cybership dashboard in a new tab).

Create a cycle count

Click Create Cycle Count and choose:

  • Product Count to count selected products and their stock.
  • Location Count to count the contents of selected warehouse locations.
  • Items Flagged for Recount to create a follow-up count from unresolved discrepancies.

Enter a clear name, warehouse scope, assignee, and due date where requested. Review the selected products or locations, then click Create Cycle Count.

Perform a count

  1. Open the cycle count.
  2. Click Start Counting.
  3. Visit each location in the count.
  4. Enter the physical quantity for every stock row.
  5. Add notes or location issues when needed.
  6. Save the location and continue.
  7. Review discrepancies.
  8. Click End Cycle Count after the count is ready to apply.

ShipOS prevents the same stock from being added to overlapping active cycle counts. Inventory movements can still happen while a count is open, so picks, transfers, receipts, or adjustments may create discrepancies that require review or recount.

Blind count

When blind count is enabled in the resolved configuration, the expected quantity is hidden while the worker counts. This reduces the chance that the system value influences the physical count.

The expected quantity becomes available where the workflow needs it for discrepancy review.

UoM quantities

Cycle Count keeps the unit-of-measure profile saved on the stock row while comparing quantities as individual base units (eaches). Count the physical container quantity shown by the workflow and confirm the profile before saving.

See Units of Measure.

Resolve discrepancies

A discrepancy appears when the counted quantity does not match the expected quantity.

Before ending the count:

  1. Recheck the physical stock and location.
  2. Review inventory movement that occurred after counting began.
  3. Add a note that explains the result.
  4. Save the confirmed physical quantity or flag the item for recount.

Ending the cycle count applies the accepted inventory adjustments.

Create a recount

Use Items Flagged for Recount to create a separate follow-up cycle.

The dialog shows items currently flagged for recount. Choose all eligible items or a selected subset, assign the recount, set its due date, and click Create Recount Cycle.

Recounts keep the original discrepancy context so the second counter can verify the result without editing the first count.

Schedule recurring counts

Go to ShipOS → Inventory → Cycle Count → Schedules (opens the Cybership dashboard in a new tab) and create a schedule.

Schedule configuration

Choose:

  • Schedule name
  • Warehouse
  • Optional assignee
  • Timezone
  • Due-in days
  • Active or paused state

Schedules can run daily, weekly, every 2 weeks, monthly, or quarterly.

Generation modes

ModeHow products and locations are selected
Static FiltersMerchant teams, location types, location prefixes, minimum-stock state, flagged locations, and inventory exclusions
Velocity ClassProduct velocity classes A, B, or C, with optional merchant and inventory filters

Velocity classes use recent fulfillment demand to group faster- and slower-moving products. Select one or more classes that match the counting frequency you want.

Both modes can exclude inventory already in an active cycle count. Use this to prevent recurring schedules from duplicating open work.

If a schedule creates no count, check that inventory matches its filters and is not excluded by active counts or inventory-exclusion rules.

Review Labor Hours

When Labor is enabled, open a cycle count and select Labor Hours to review the time attributed to that count.

The report shows workers currently clocked into the count, all attributed activity, total workers, total duration, status, and notes. Use Export CSV for a count-specific file. In edit mode, authorized managers can Log Hours, correct a completed entry, or delete an incorrect entry.

Cycle Count Auto Tracking can connect normal count work to the count and its Labor job. Cycle-count labor is available for operational reporting, but it does not create automatic customer charges.

See Workflow Attribution and Labor Billing for how linked work and manual corrections are handled.

Count history

Open Count History (opens the Cybership dashboard in a new tab) to review historical stock counts, including:

  • Cycle count
  • Product and location
  • Expected and counted quantities
  • Counter
  • Count time
  • Resulting status

Use the source cycle-count link to return to the operational record when available.

Mobile counting

The mobile workflow is designed for warehouse scanning:

  1. Open the assigned cycle count.
  2. Scan or select the next location.
  3. Count each product stock row.
  4. Add notes or skip the location with a reason.
  5. Save and continue.

Skipped locations return to the queue with their reason recorded.

See Cycle Count on Mobile.

Other inventory adjustments

Use a cycle count when you need a controlled physical-verification workflow. For a known one-off correction, use Product Stock or the mobile stock-adjustment workflow instead.