Xorosoft Knowledge Base
  • Xorosoft Knowledge Base
  • What's New
    • 📒Release Notes
      • Current Release
        • May 1.0 2025 Release
      • Previous Releases
        • 2025
          • January 2025 Release (WMS)
          • February 2025 Release
          • March 2025 Release
          • March 2.0 2025 Release
          • March 3.0 2025 Release
          • April 1.0 2025 Release
          • April 2.0 2025 Release
          • April 3.0 2025 Release
        • 2024
          • December 2024 Release
          • November 2024 Release
          • October 2024 Release
          • September 2024 Release 2.0
          • September 2024 Release
          • August 2024 WMS Release
          • August 2024 Release
          • July 2024 Release
          • June 2024 Release
          • May 2024 Release 2.0
          • May 2024 Release
          • April 2024 Release 2.0
          • April 2024 Release
          • March 2024 Release
          • February 2024 Release
          • January 2024 Release
        • 2023
          • November 2023 Release
          • October 2023 Release
          • September 2023 Release
          • August 2023 Release
          • July 2023 Release
          • June 2023 Release
          • May 2023 Release
          • April 2023 Release
          • February 2023 Release
          • January 2023 Release
        • 2022
          • December 2022 Release
          • November 2022 Release
          • July 2022 Release
          • June 2022 Release
          • April 2022 Release
          • February 2022 Release
          • January 2022 Release
        • 2021
          • December 2021 Release
          • October 2021 Release
          • September 2021 Release
          • July 2021 Release
          • June 2021 Release
          • May 2021 Release
          • April 2021 Release
          • March 2021 Release
          • February 2021 Release
          • January 2021 Release
        • 2020
          • October 2020 Release
  • XoroERP
  • 💻XoroERP
    • XoroERP Basics
      • Getting Help
      • Navigation
      • Log In
      • Setting Preferences
    • Dashboards
      • Business Dashboard
      • Sales Dashboard
      • Purchase Dashboard
      • Warehouse Dashboard: Inbound
      • Warehouse Dashboard: Outbound
      • Sales Rep Dashboard
      • Manufacturing Dashboard
    • Sales
      • Customer Section
        • Customer
          • Creating Customers
        • Customer Info
          • Customer Info Module Fields
        • Customer Centre
          • Customer Centre Fields
          • Adding/deleting the credit card info
        • Customer Statement
          • Customer Statement Fields
        • Customer Portal Invitation
        • In what sequence the Customer Emails are used to send the SO-related Emails?
      • Estimate
        • What is a Sales Estimate?
          • Creating a Sales Estimate
          • Estimate Options
        • Estimate Centre
          • Estimate Centre Fields
      • Sales Order
        • What is a Sales Order?
        • Creating Sales Orders
        • Sales Order Options
        • Sales Order Activity and Linked Transactions
        • Backorders
        • Sales Order Centre
          • Sales Order Centre Options
          • Sales Order Centre Search Fields
        • Update Sales Order Items
        • Dropship Orders
        • Global Allocation
      • Invoice
        • Invoice
          • Invoice Options
          • Voiding an Invoice
        • Invoice Centre
          • Invoice Centre Fields
        • Invoice Batch Centre
          • Invoice Batch Centre Fields
      • Sales Receipt
        • What is Sales Receipt?
        • Creating Sales Receipt
        • Sales Receipt Options
        • Sales Receipt Centre
        • Sales Receipt Centre Fields
      • Credit & Deposit
        • What is (Invoice) Credit Memo?
          • Creating Credit Memo
          • Voiding a credit memo
        • Invoice Credit Memo
          • Creating Invoice Credit Memo
        • What is a Customer Deposit?
          • Customer Deposit Centre
            • Customer Deposit Centre Fields
          • Creating Customer Deposit
        • Customer Credit Centre
          • Customer Credit Centre Fields
        • Applying Customer Deposit
        • Applying Customer Credit
        • What is Return Merchandise Authorisation (RMA)?
          • Creating RMA
          • The RMA Process
      • Payment
        • Invoice Payment
      • Refund
        • What is Refund Receipt?
        • Refund Receipt Centre
          • Refund Receipt Centre Fields
        • Customer Refund Centre
          • Customer Refund Centre Fields
      • Commissions
        • Commission Rule
        • Creating Commission Rule
          • Managing Sales Commissions
        • Commission Rule Centre
          • Commission Rule Centre Fields
        • Commission Reporting
          • Running Commissions
          • Commission Report Centre
      • Sales Item Centre
        • Sales Item Centre Fields
    • B2B
      • B2B Workflow
      • Showroom Centre
      • B2B: Portal Account Login
        • B2B - Mobile View Compatibility
      • Presentation Centre
      • Campaign Centre
      • Cart
      • Customer Portal
        • What is a Customer Portal?
        • Customer Portal - My Profile
        • Customer Portal - Invoices
        • Customer Portal - Credits
        • Customer Portal - Deposits
        • Customer Portal - Orders
        • Customer Portal - Pending Orders
        • Customer Portal - Payments
        • Customer Portal - Transaction History
        • Customer Portal - Presentations
        • Customer Portal - Cart
        • Customer Portal - Resources
        • Customer Portal - Customer Statement
      • Creating a B2B order
    • Purchase
      • Vendor Section
        • Vendor Info Module
          • What is Vendor Info Module?
          • Vendor Info Fields
          • Creating Vendor
        • Vendor Centre
          • Vendor Centre Fields
      • Purchase Order
        • What is a Purchase Order?
          • Creating Purchase Orders
          • Purchase Order Options
          • Purchase Order Activity and Linked Transactions
      • Item Receipt
        • What is an Item Receipt?
        • Item Receipt Centre
          • Item Receipt Centre Fields
      • Bill
        • What is a Bill?
          • Bill Options
        • Bill Centre
          • Bill Centre Fields
      • Vendor Credit
        • What is Vendor Credit?
        • Vendor Credit Centre
          • Vendor Credit Centre Fields
      • Prepayment
        • Vendor Prepayment
          • What is Vendor Prepayment?
          • Creating a Vendor Prepayment
          • Applying Vendor Prepayment
        • Vendor Prepayment Centre
          • Vendor Prepayment Centre Fields
      • Refund
        • Vendor Refund Centre
          • Vendor Refund Centre Fields
      • Payment
        • Bill Payment
        • Bill Payment Centre
          • Bill Payment Centre Fields
      • Item Vendor Mapping
        • Item Vendor Mapping Fields
        • Item Vendor Mapping Centre
          • Item Vendor Mapping Centre Fields
      • Vendor Group
        • Creating Vendor Group
        • Vendor Group Centre Fields
        • Vendor Group Centre
      • Order Linking
        • Order Linker
          • Order Linking Fields
        • Order Linking Centre
          • Order Linking Centre Fields
      • Short Inventory Planner
        • Short Inventory Planner Fields
    • Admin
      • Branding
      • Access Manager
      • Tag Management
      • IP Restriction
      • Activity Tracking
      • Universal Code Series
      • Custom Field Mapping
        • The Custom Field Mapping module
        • Custom Field Mapping Centre
          • Custom Field Mapping Centre
      • Multi UOM
        • What is Multi UOM and how is it handled in Xoro?
      • Company
        • Company Info Module
        • Currency Centre
          • Currency Centre Fields
        • Store
          • What is a Store?
          • Creating a Store
          • What is Store Centre?
          • Store Centre Fields
        • Payment Method
          • Payment Method Types and Fields
          • Creating a Payment Method
        • Payment Method Centre
          • Payment Method Centre Fields
        • Payment Term
          • Understanding Payment Terms
          • Creating Payment Term
          • Applying Discount based on Payment Term
        • Payment Term Centre
          • Payment Term Centre Fields
      • Inventory Adjustment Reason Codes
      • Project
        • Project Category
      • Item
        • Item
          • What is an Item?
            • Creating Items
          • Item Centre
            • What is Item Centre?
            • Item Centre Fields
            • Item Centre Options
        • Kit
          • What is an Item Kit?
            • Creating an Item Kit
        • Item Brand
          • What is an Item Brand?
          • Item Brand Centre
        • VAS Item
          • What is a VAS Item?
          • Creating a VAS Item
          • Applying a VAS Item
        • Item Group
          • What is an Item Group?
          • Creating Item Groups
        • Item Category
          • What is Item Category?
          • Creating Item Category
        • Item UOM
          • What is an Item UOM?
          • Creating Item UOMs
          • UOM Centre
          • UOM Centre Fields
          • UOM Centre Options
        • Item Season
          • What is Item Season?
          • Creating Item Seasons
          • Item Season Centre
        • Order Type
          • What is Order Type?
          • Creating Order Types
        • Item Return Code
          • What is Item Return Code?
          • Creating Item Return Codes
        • HS Code
          • Creating HS Codes
        • Custom Price Formula Profile
          • Creating Custom Price Formulas
      • Product
        • Product
          • Products & Variants
          • Product Centre
            • Product Centre Fields
        • Product Category
          • Creating Product Category
          • Product Category Centre
        • Product Option
          • What is a Product Option?
          • Creating Product Options
        • Product Customization Profile
          • What is Product Customization Profile?
          • Creating Product Customization Profile
          • Managing Product Customization Profile
      • User
        • User
          • What is a User?
          • Creating Users
        • User Role
          • What is a User Role?
          • Creating User Roles
          • User Role Centre
          • User Role Centre Options
        • User Group
          • What is a User Group?
          • Creating User Groups
          • User Group Centre
            • User Group Fields
        • User Store Mapping
          • What is User Store Mapping?
          • Creating User Store Mapping
          • Limiting User Access to Inventory Information
        • Portal User
          • Portal User Centre
      • Customer
        • Customer Group
          • What is a Customer Group?
          • Creating Customer Groups
        • Customer Message
          • Creating Customer Message
      • Warehouse
        • Carrier Confirmation Codes
          • Fields
        • Shipping Non Delivery Code
          • Shipping Non Delivery Code Fields
        • Fob Point
        • Carrier
          • What is a Carrier?
          • Creating Carriers
        • Shipping Content
          • What is Shipping Content?
          • Creating Shipping Content
        • Ship Service
          • What is a Ship Service?
          • Creating Ship Services
          • Ship Service Centre
        • Ship Package Type
        • Ship Package Type Centre
        • Location
          • What is a Location?
            • Location Centre
          • What are different Location Types in Xoro?
        • Location Zone
          • What is a Location Zone?
        • Wave Template
          • What is a Wave Template?
            • How to use Wave Templates
            • How to “Set Default Wave Template” for a Customer?
        • Wave Template Rule
          • What is a Wave Template Rule?
          • Creating Wave Template Rules
        • Address Instructions
          • What is Address Instructions module?
          • Creating Address Instructions
      • Reporting
        • Reporting Headers & Footers
      • Material
        • What is Material module?
        • Creating Materials
      • Vendor
        • Vendor Type
          • What is Vendor Type
          • Creating Vendor Type
      • Custom Field Definition
        • Custom Field Definition module
        • Custom Field Definition Centre
      • Item Customer Mapping
        • What is Item Customer Mapping?
        • Creating Item Customer Mapping
        • Item Customer Mapping Fields
        • Item Customer Mapping Centre
      • Third Party Field Mapping
        • What is Third Party Field Mapping module?
        • Creating Third Party Field Mapping
      • State/Province
        • What is the State/Province module?
        • State/Province Centre
      • Task
        • What is Task module?
        • Creating tasks
      • Country
        • What is the Country module?
        • Country Centre
      • API Integration Connector
        • Fields
      • Item Quality
      • Workflow
        • Workflow
        • Workflow Execution Detail
      • Permission Group
        • What is a Permission Group?
        • Creating and Using Permission Groups
      • What is an Order Linker?
        • Creating an Order Linking
      • Customer Portal Links
        • Customer Portal Fields
      • Contacts
      • Cancel Reason
        • Cancel Reason Module
        • Cancel Reason Centre
      • Timesheet Entry Module
    • Utilities
      • Scoping Notes
      • Tickets
        • How do I log a ticket?
      • Exchange Rates
        • How do Exchange Rates work in the system?
      • Pricing Rules
        • What is a Pricing Rule?
          • Creating Pricing Rules
          • How do Pricing Restrictions work?
      • Data Imports
        • Upload Item Prices
        • Upload Item Images- Different ways to link an Image to the Item
        • Upload Customers
        • Upload Vendors
        • Upload Waves
        • Upload Customer Addresses
        • Upload Invoices
        • Upload Sales Order
        • Upload Users
        • Upload Credit Memo
        • Upload SO Shipments
        • Upload Item Customer Mapping
        • Upload Sales Forecast
        • Upload Email Template
        • Upload ASN
        • Upload ASN Receipt
        • Upload Bills
        • Upload Purchase Orders
        • Upload Items/SKUs/Products
        • Upload Item Reorder Points & Reorder Qty
        • Upload Vendor Credit
        • Upload Item Vendor Mapping
        • Upload Transfer Purchase Orders
        • Upload Bill of Materials (BOM)
        • Upload Accounts
        • Upload Bank Statement
        • Upload Locations
        • Upload Journal Entries
        • Upload Inventory
        • Upload Customer Addresses
        • Upload Outgoing Payments
        • Upload Budget
        • Upload Dropship Receipts
        • Upload Pricing Rule
        • Upload Address Instructions
        • Upload Inventory Movement
        • Upload MO Quick Produce
        • Upload Invoice Payment
        • Upload Commission Rule
        • Upload Transfer Funds
        • Upload Contacts
        • Upload RMA
      • Data Export
        • Data Export Centre
      • Import/Export Utility
        • Building Import/Export Utility
      • Queries
        • App Queries
          • App Query Fields
      • Reporting Server Status
      • Authorization Centre
        • What is Authorization Centre?
        • Authorization Centre Fields
      • Manage Credit Card Payment Services
        • Payment Gateways in Xoro
          • What is a Payment Gateway?
          • Connecting Payment Gateways
          • Common Payment Gateway Errors
          • How to Process Credit Cards in Xoro?
          • How to Initiate a Refund for Credit Card Payments in Xoro
      • Manage Direct Debit Payment Services
      • Processed Payment Logs
        • What is Processed Payment Logs module?
        • Processed Payment Logs Fields
      • Manage Tax Services (Avalara)
      • Manage Address Verification Services
      • Job Schedules
        • Setting up Data Import/Export Scheduler
        • Job Schedule Centre
        • Job Execution History
        • Job Execution - Managing Errors
    • Warehouse
      • Receiving
        • Create ASN
          • What is Advance Shipping Notice (ASN)?
          • Creating ASNs
        • Receive ASN
          • Receiving an ASN
          • Voiding an ASN
      • Picking
        • Create Wave
          • What is a Wave?
            • Creating a Wave
            • Creating a Wave/Allocating a Sales Order
          • What to do if my Inventory falls Short while creating a Wave?
        • Pick Wave
          • Picking a Wave
          • Merging Waves
          • How to Void a Wave/Unallocate an Order?
          • What are Produced LPNs & Consumed LPNs columns in the Pick Wave module?
        • Pack & Ship
          • Shipping a Sales Order
          • How to Over Ship an Allocated SO?
        • Packing Slip Centre
          • Packing Slip Centre Fields
        • Priority Code
          • What is a Priority Code?
          • Creating Priority Codes
      • Transfers
        • Transfer Purchase Order
        • Transfer Sales Order
    • Inventory
      • Inventory Adjustment
        • What is Inventory Adjustment
        • Creating Inventory Adjustment
        • Inventory Adjustment Centre
      • Inventory Movement
        • What is Inventory Movement?
        • Moving Inventory
      • Inventory Transfer Centre
        • What is Inventory Transfer Centre?
        • Inventory Transfer Centre Fields
      • Batch Inventory Movement
        • What is Batch Inventory Movement?
        • How to batch move inventory?
        • Batch Inventory Movement Options
      • Inventory by Location
        • What is Inventory by Location module?
        • Inventory by Location Fields
        • Inventory by Location Options
      • Inventory Change Log
        • What is Inventory Change Log?
        • Inventory Change Log Fields
      • Item Inventory Snapshot
        • Item Inventory Snapshot Options
        • Item Inventory Snapshot Active Columns
        • Inventory Levels
      • Inventory Snapshot By Basepart
        • Inventory Snapshot By Basepart Active Columns
      • Inventory Demand Projection
      • Cycle Counts
    • Manufacturing
      • Bill of Materials
        • What is Bill of Materials (BOM)?
        • What is Bill of Material Centre
        • Bill Of Material Centre Fields
      • Manufacturing Order
        • What is a Manufacturing Order?
        • Creating Manufacturing Order
        • Disassemble Manufacturing Order
        • Batch Manufacturing Order
      • Manufacturing Process
        • What is Manufacturing Process?
        • Creating a Manufacturing Process
        • Manufacturing Process Centre
      • Manufacturing Lab Report
        • Item Specification Class
        • Item Specification Property
        • Item Specification UOM
        • Item Specification Test Method
        • Item Specification
        • Catalyst Property Profile
        • Catalyst
        • Item Specification Class Template
        • Manufacturing Lab Record
          • Creating Manufacturing Lab Records
    • Accounting
      • Accounts
        • Chart of Accounts (COA)
        • What are Retained Earnings?
        • Returns Vs Chargebacks
        • Cash basis Vs Accrual Basis Accounting
        • Accounting Migration
      • Accounting Period
      • Journal Entry
        • What is a Journal Entry?
        • Creating Journal Entries
        • Journal Entry Options
        • Managing Multi-Currency Transactions in XoroERP: A Guide to Home Currency Adjustments
      • Fixed Asset Management
        • Fixed Asset Type
          • Fixed Asset Type
          • Fixed Asset Type Centre
        • Fixed Asset
          • Fixed Asset Module Fields
        • Fixed Asset Centre
          • Fixed Asset Centre Fields
        • Fixed Asset Summary
        • Run Depreciation
          • How to Run Depreciation
        • Dispose Fixed Asset
          • Dispose Fixed Asset Fields
        • Month End Close Checklist in Xoro
      • Bank Reconciliation
        • Bank Reconciliation Options
        • Unreconciling Transactions
        • Bank Rules
          • What is Bank Reconcile Rule?
          • Creating Bank Reconciliation Rule
      • Transfer Funds
        • What is a Transfer Fund?
        • Creating a Transfer fund
        • Funds Transfer Options
        • Funds Transfer Centre
        • Funds Transfer Centre Fields
      • Bank Deposit
        • What is a Bank Deposit?
        • Creating Bank Deposits
        • Bank Deposit Options
      • Outgoing Payment
        • What is an Outgoing Payment?
        • Outgoing Payment Centre
      • Project/Class
        • Project
          • What is Project/Class?
        • Project/Class Centre
        • Page
        • Project Dashboard
      • Sales Tax
        • Prepare Tax Return
          • Prepare Tax Return Fields
          • Sales Tax Filing Adjustments
        • Tax Return Centre
          • Tax Return Centre Fields
        • Tax Adjustment Centre
        • Tax Installments
          • Sale Tax Installment
          • Tax Installment Centre
        • Tax Payment
          • Sale Tax Payment
            • Making Sale Tax Payments in XoroERP
          • Tax Payment Centre
            • Tax Payment Centre Fields
        • Tax State Mapping Profile
      • Liabilities To Bill
        • Item Receipt Reconciliation: Generating Liabilities To Bill
      • Recurring Transactions
        • What is a Recurring Transaction?
        • Creating Recurring Transactions
        • Recurring Transaction Centre
      • Recurring Transactions Execution History
      • Accounting Migration
      • Account Register
      • Audit Trail
      • Deleted Transactions
        • What is the Deleted Transactions Centre?
        • Deleted Transactions Centre Fields
      • Fiscal Year End
        • What is Fiscal Year End?
        • Period End Closing
      • Cheques
        • Cheque Centre
    • User
      • My Work Space
        • What is My Work Space module?
        • Creating My Work Space
        • Editing Work Space
      • Email Centre
      • Print Queue
      • Notifications
      • User Email Setup
        • User Email: Setup and Usage
      • User Queries
        • Creating User/Application Queries
      • The “Multi-factor” authentication Login
        • User Trusted Devices
    • Configuration
      • Company
        • The Company Email: Setup and Usage
      • Application
        • App Config
          • General
          • Customer Portal
          • Sales
          • Purchase
          • Accounting
          • Inventory
          • Warehouse
          • Manufacturing
          • API/Integrations
          • B2B
          • Security
        • Email Templates
          • What is Email Templates module?
          • Creating Email Templates
        • Default Document Templates
          • What is Default Document Templates Module?
          • Setting Default Document Templates
    • Planning
      • Budgets
    • Reports
      • Analytics Report Explained
      • Accounting
        • Adjusted Trial Balance
          • Accessing Adjusted Trial Balance Report
          • Adjusted Trial Balance Fields
        • Unadjusted Trial Balance
          • Accessing Unadjusted Trial Balance Report
          • Unadjusted Trial Balance Fields
        • Budget Vs Actual BS
        • Budget Vs Actual PL
        • Cash Flow Statement
        • Income Statement By Class
        • Transaction Journal
        • Unadjusted Trial Balance
        • Income Statement Analytics
        • Balance Sheet Summary
      • Sales
        • AR Aging Report
          • Accessing AR Aging Report
          • AR Aging Report Fields
        • Profitability by Account Report
          • Profitability by Account Report Fields
        • Profitability by Brand Report
          • Profitability by Brand Report Fields
        • Sales by Sales Rep Report
          • Sales by Sales Rep Report Fields
        • Sales By Item Summary
          • Sales By Item Summary Fields
        • Sales By Sales Rep Profit Comp
          • Sales By Sales Rep Profit Comp Components
        • Sales Order Detail By Delivery Date
          • Sales Order Detail By Delivery Date Fields
        • Sales Summary Report
        • Sales Order Activity By Date
        • New and Repeat Customers Report
        • Sales Tax Report
        • Open Orders Report (By Ship Date)
        • Sales by Sales Rep (Accrual)
        • Sales By Sales Rep (Cash Basis)
      • Purchase
        • AP Aging Report
          • Accessing AP Aging Report
          • AP Aging Report Fields
        • Vendor Balance Summary
        • Purchase Order Detail By Delivery Date
          • Purchase Order Detail By Delivery Date Fields
        • Received Items By Date
        • Purchased Items Report
      • Profit and Loss
        • Income Statement
        • Income Statement By Store
        • Income Statement By Comparison
      • Operation
        • Available to Sell (ATS) Report
          • Available to Sell (ATS) Report Components
        • Inventory Overview Report
          • Inventory Overview Report Fields
        • Inventory Valuation Summary
          • Inventory Valuation Summary Fields
          • Inventory Valuation
        • Inventory Snapshot Analytics
        • Activity Tracking Report
    • Connect Banks
    • Connected Apps
      • Shopify
        • Orders
        • General
          • General Advanced Settings
            • Sync Third Party Customer And Company Data With Xoro
        • Accounts
          • Accounts Advanced Settings
        • Warehousing
          • Warehousing Advanced Settings
        • Filters
      • Products & Inventory
        • Products
          • Product Advanced Settings
        • Inventory
          • Inventory Advanced Settings
        • Filters
      • Gift Cards
        • Gift Card Advanced Settings
      • Payouts
        • Payouts Advanced Settings
      • Import Settings
        • Import Advanced Settings
      • Notifications
  • XoroWMS
    • XoroWMS Basics
    • WMS Pick
      • Pick
        • Pick Strategy
        • Pick Task Assignment
          • Replenishments
        • Scan Cart Location
        • Scan Pick Location
        • Enter Item & Qty
        • Pick Options
        • How to Pick?
      • Edit Qty
      • New Carton
      • Stage
      • Replen Putaway
      • Consolidate
      • Palletize
      • Move Pallet
    • WMS Receive
      • Receive
        • Scan ASN
        • Receive By Item
        • Receive By Mixed Carton
        • Scan ILPN
        • LPN Attributes
        • Scan Pallet
        • Scan Stage Location
        • How to Receive?
      • Edit LPN Qty
      • Edit LPN Attributes
      • Putaway
      • Move Pallet
      • Print Label
      • Move LPN
    • Manufacturing
    • Move
    • Packing
    • Lookup
      • ILPN Lookup
      • OLPN Lookup
      • Location Lookup
      • Item Lookup
      • Pallet Lookup
      • Order Lookup
    • Cycle Count
    • Audit
  • XoroPay
  • Other Products
    • Xoro3PL
      • 3PL Contract
      • 3PL Account
        • What is 3PL Account?
        • Creating a 3PL Account
      • 3PL Charge Entry
      • Generate 3PL Invoice
      • 3PL Invoice Logs
      • 3PL Storage Inventory Snapshot
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On this page
  • 1. Wave Center: Added Item UPC column.
  • 2. Estimate module- The Copy Address check box.
  • 3. Sales Order Centre: Added Payment Links to Invoice and Customer Deposit Center
  • 4. Create Wave & Pick Wave Module: Columns added.
  • 5. Create ASN opens up in a separate window.
  • 6. Inventory Transfer Centre: Log for the Inventory Movement
  • 7. Linked Sales Order: New field added under the Invoice Header.
  • 8. Data Export Access.
  • 9. Bill Payment Receipt: Ability to Change the Exchange rate.
  • 10. Item: Added Discontinued Date
  • 11. Split Orders: Deposits split on Splitting Sales Orders.
  • 12. Deposit/Payment Email: Company or User
  • 13. Bill Payment Centre: Add to Email Queue.
  • 14. Purchase Order: Search fields added
  • 15. Item: Option to remove the Image.
  • 17. App Config: To Hide Estimate from Customer Info
  • 18. App Config: Transfer Third-party SO information.
  • 19. Activity Log: Viewing Sales Order/Estimate
  • 20. Good Received Notification Email: Attached Linked Sales Orders.
  • 21. Multi-Currency Support in PO Reconcile Process
  • 22. LPN: Added Auto Consolidate property
  • 23. Short Inventory Planner: Create Batch MO
  • 24. Data upload defaults**.
  • 25. Global Payments: New Payment gateway added in Xoro**
  • 26. IP Restriction Implementation**
  • 27. Running Sub-Total

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  1. What's New
  2. Release Notes
  3. Previous Releases
  4. 2021

January 2021 Release

PreviousFebruary 2021 ReleaseNext2020

Last updated 1 year ago

Was this helpful?

1. Wave Center: Added Item UPC column.

Added Item UPC column to Wave Center (Wave Detail View & Wave Detail Allocation View), Wave Subview, and Pick Wave module.

  • UPC column in the Wave Centre; Wave Detail view.

  • UPC column in the Wave Centre; Wave Detail Allocation view.

  • UPC column in the Wave Centre; Wave Sub-view.

  • UPC column in the Pick Wave Module

2. Estimate module- The Copy Address check box.

The Copy Address check box has been added to the Estimate module.

Now the Bill to Address can be copied to the Ship to Address and vice-versa.

3. Sales Order Centre: Added Payment Links to Invoice and Customer Deposit Center

Added the ability to copy links (URL) from Invoice/Deposit Center.

Sales Order Centre.

Added an icon to view Deposit Email Sent History, under the “Deposit Email Sent?” column.

Also added an icon to view the Pay Deposit Link in the “Deposit Link” Column.

To view it, double click on the “Pin icon”.

A pop-up will open up to show the Payment Links. These are “copy to clipboard” links.

There will be 3 different types of Links available to see:

  1. Round Green Tick: Usable Link.

  2. Blue Tick: Used link.

  3. Caution sign: Expired Link.

The same feature is available in the Invoice Centre.

Here in the Invoice Centre, an icon to view the Pay Deposit Link in the “Payment Email Sent” Column has been provided.

We have a “copy to the clipboard” button for the links.

Apart from this, we have fixed several existing issues:

“Generate Pay Deposit Link” and “Send Pay Deposit Link”:

  • It will not create duplicate links if we already have valid links.

  • These operations are only allowed for the order type SALE.

  • Deposit links will not generate for Orders marked No Deposit required.

4. Create Wave & Pick Wave Module: Columns added.

Added Item Description & Item Category Column to Create Wave & Pick Wave Modules.

Create Wave module:

Pick Wave module:

5. Create ASN opens up in a separate window.

In the Purchase module, the Create ASN screen will open up in a separate window rather than a pop-up window.

How does it work?

  • Navigate to Purchase order centre

  • From the PO centre, right-click on a PO and click Create ASN option and it will open up in a new tab.

6. Inventory Transfer Centre: Log for the Inventory Movement

A new Centre; Inventory Transfer Centre is created for showing Inventory Movement Records.

This Centre will maintain a record for all the Inventory movements that were created in the system from the Inventory Movement Module.

Also, the details of the Inventory Transfer can be viewed by double-clicking on the Transfer record.

7. Linked Sales Order: New field added under the Invoice Header.

Added a new field “Linked Sales Order” to the Invoice module.

If an Invoice is created from the Sales Order, then it will show the Sales Order Number with a clickable link.

On clicking the hyperlink, the linked sales Order will open in a new tab.

The linked SO can directly be accessed from the Invoice Sub-view form, by double-clicking the Invoice in the Invoice Centre.

8. Data Export Access.

A new Access Setting is added in the Access Manager Module, to Restrict/Provide the access for Exporting Reports from the various Module Centre’s.

How does it work?

  • Select a User

  • In the Access Manager, go to the Configuration -> Application Configuration -> Centre Data Export.

  • With the help of this setting, the access to be given for Data Export can be managed.

  • To allow access to the Data Export, this needs to be turned On.

  • The Export (Download Button) is available.

  • When it’s unchecked, the Export (Download Button) from any module cannot be seen.

  • The Export (Download Button) is not available.

9. Bill Payment Receipt: Ability to Change the Exchange rate.

The Exchange rate could be changed on the Bill Payment Receipts with Foreign Currency.

The system should now calculate the exchange rate Gain and Loss Transactions according to the new exchange rate.

The Exchange Rate gain/loss transaction is created based on the difference in the exchange rate between the original Bill/Vendor credit/Vendor prepayment and Bill payment.

How does it work?

  • Go to the Bill Payment Centre, double click to open the Bill Payment (Not Home Currency).

  • Edit the Bill Payment in Foreign Currency.

  • Change the Exchange Rate.

  • Click Save.

  • Now the Transactions will be Balanced, you can see it in the Journal transaction View by right-clicking.

Note: This is applicable to all types of Bill Payments (Paid Amount, Vendor Credit Applied (VC), Vendor Prepayment Applied (VP), Discount Applied).

10. Item: Added Discontinued Date

Added Discontinued Date into Item and Item Centre.

If a particular item is not to be used, the date can be defined in the system to keep a record of when it should not be used.

Also added Custom Fields and Discontinued Date into Upload Product Module.

  • Find this attribute in the Create Item module, under “Other Attributes”.

  • Can be viewed in the Item Centre.

  • Find it in the Product Upload module.

  • Custom Fields, under Create Item:

11. Split Orders: Deposits split on Splitting Sales Orders.

Added App Config (Under Sales) – Auto Split Deposit when splitting a Sales Order.

To split the Deposit amount, when an SO is split, an App Config is created in the system that allows Auto split deposit on splitting a sales order.

How does it work?

If selected yes then it will allow splitting the Deposit linked with Sales Order, when the Sales Order is split into new Sales Order.

  • If the linked Deposit amount is equal to the new Sales Order total amount, then the Deposit amount linked to the Old SO will be linked to the new SO.

  • If the linked Deposit amount is less than the new Sales Order total amount, then the linked Deposit amount will be linked to the new SO.

  • If the linked amount is more than the new SO total amount, then the Deposit amount equal to the new SO will be linked to it.

Updated Deposit linked amount criteria:

  1. For old SO (Deposit linked amount) = Linked deposit amount – New SO total amount.

  2. For new SO (Deposit linked amount) = New SO total amount.

12. Deposit/Payment Email: Company or User

Added an App config setting for Deposit/Payment Email link in app config under Sales.

How does it work?

  • Navigate to App Config (Sales).

  • Select User Email or Company Email for sending Payment/Deposit link.

Selecting one of these options will decide which Email Type (Company Email or User Email) will be used when sending Deposit and Payment links to the Customers.

13. Bill Payment Centre: Add to Email Queue.

Added “Add to Email Queue” option in Bill Payment Centre.

Now the Bill Payment Receipt could be Emailed directly from the Bill Payment Centre.

The feature is available under the Options tab in the Bill Payment Centre.

There is an option to Email the Receipt right away or Add it to the Email Queue.

14. Purchase Order: Search fields added

Added search fields in Purchase Order Centre, Item Receipt Centre, and Bill Centre modules.

  • Purchase Order Centre: Search by Ref Number;

  • Item Receipt Centre: Search by Packing Slip Number;

  • Bill Centre: Search by Vendor Bill Number

15. Item: Option to remove the Image.

An Image added for an Item can now be removed from the Create Item module.

This Delete icon is now accessible directly under the “Other Attributes” of the Item module.

This is an important feature in the case where the same image is used on multiple items of the same Product.

16. Customer Centre: Batch Update Sales Rep

In the Customer Centre, an option to Batch update Sales Rep has been added.

From the Options tab in the Customer Centre, the Sales Rep can be updated for the selected Customer from the Batch Update option.

17. App Config: To Hide Estimate from Customer Info

An App config setting is created in Xoro that will give an ability to customize the visibility of Estimate in the Customer Info.

Find this setting in the App config module, under the Sales section to hide Estimates in the Customer Info (Estimates/Sales Order Section).

How does it work?

When this setting is turned off, the estimates will be shown in the Customer info module.

To hide the Estimate from the Customer Info, turn this setting On.

18. App Config: Transfer Third-party SO information.

An App Config setting is created to Copy Third Party Ref# when Duplicating or Splitting an SO.

Find this setting in the App Config Module: App Config > Warehousing > “Transfer third-party SO information”

How does it work?

When App Config setting is ON:

When splitting lines on an SO to a new SO, the Third-Party Ref Number will be carried over to the new Order.

Also, when duplicating an SO the Third-Party Ref Number will be carried over to the new Order.

When App Config setting is OFF:

When splitting lines on an SO to a new SO, the Third-Party Ref Number will NOT be carried over to the new Order.

When duplicating an SO the Third-Party Ref Number will NOT be carried over to the new Order.

19. Activity Log: Viewing Sales Order/Estimate

Two additional Transactions can now be viewed in the Activity Tracking.

On accessing/viewing saved Estimate and Sales Order, a log entry will be made in Activity Tracking that the Sales Order/Estimate has been viewed by the user.

20. Good Received Notification Email: Attached Linked Sales Orders.

Added Linked Sale Order(s) in the Goods received Notification Mail.

How does it work?

For a single PO linked with multiple Sales Orders, the Goods Received Email will now show all the Sales Orders connected to it.

This feature will aid in keeping a note of the Backorders.

21. Multi-Currency Support in PO Reconcile Process

Added Multi-Currency Support in PO Reconcile Process.

How does it work?

Xoro is now giving a feature to Reconcile in a different currency than what’s on the PO.

This applies to both IR & Bill Reconciliation.

  • Added currency dropdown and Exchange rate field in add items and removed from Select Items.

  • Vendor and Account dropdown will be populated on the basis of Line level Reconcile currency.

  • Also, an Alert function has been provided when the Reconciliation is finished.

Note: There cannot be more than 1 Foreign Currency per Bill/IR

Example –

Home Currency = USD

Vendor = USD

Freight (Service 1) = CAD

Customs (Service 2) = USD/CAD, cannot be in any other currency

Duty (Service 3) = USD/CAD, cannot be in any other currency

22. LPN: Added Auto Consolidate property

Added a new App Config (Auto combine LPN by Location Type) under Warehouse.

This setting will allow to auto combine LPNs by Location type for the current Location while Adding/Subtracting Inventory.

The LPNs will be auto combined by location type for the same Location and Item.

How does it work?

  • Navigate to the App Config module, under Warehouse look for “Auto combine LPN by Location Type” and select the Location Types for which you merge the LPNs.

After defining the Location type for the “Auto combine LPN by Location Type” in the App Config Setting, LPNs will be auto merged for the same Location and Item number, whenever there is some Addition/Subtraction in the Inventory (from Receive/Close ASN, Inventory Adjustments, etc).

Added option to merge LPNs in Inventory by Location module.

This option is available only if LPNs are enabled.

Clicking the Merge LPNs options will open up a dialog for selecting Primary LPN.

Clicking the ‘Merge LPNs -Select First’ will consider the first LPN in selection as primary LPN.

LPN merging is not allowed for the following cases:

  • When Qty allocated is greater than 0.

  • If LPN is linked to MO.

  • If the Location or Item is different.

23. Short Inventory Planner: Create Batch MO

Batch MO can be created when an MO is created from the Short inventory Planner.

Bach Manufacturing Order can now be created on the basis of Base Part number from the Short Inventory Planner module. The different Base Parts can be batch manufactured together, for the manufacturable Items associated with them. Also, the “Processes” & “Services” can be added to the manufacturing unit.

How does it work?

  • Go to SIP (short inventory planner).

  • Select any manufacturable items with the different Base Part numbers and create batch MO from the “Options” tab.

  • A pop will open up with “Add processes and services” & “Generate Batch MO per Base Part” values turned off.

  • Turn on the “Add Process and Services” & “Generate Batch MO per Base Part” options and click OK.

  • A pop will open up to add Processes and Services to the Batch MOs.

  • After they are added, hit “Generate Batch”.

  • Batch MO’s should be created successfully.

Another way to do it is from the “On SO” link in the Short Inventory Planner.

  • Click on the “On SO” link of any manufacturable item.

  • Hit “Generate Manufacturing Orders”.

  • A pop-up will open with the new option ‘Add processes and services’.

  • You can keep it turned “Off” for existing functionality or turn it “On” for opening Batch MO popup for creating batch MO’s.

  • You also have the option to produce “Batch MO per BOM” or individual MO per Sales Order.

The feature is also available in the Sales Order module.

  1. Go to the Sales Order module and create a new Sales Order with the manufacturable item.

  2. Go to options (page top) and select ‘Create Manufacture Order’ from the COPY option.

  1. A new option ‘Add processes and services’ will appear.

  2. You can keep it turned “Off” for existing functionality or turn it “On” for opening Batch MO popup for creating batch MO’s.

24. Data upload defaults**.

Data Uploads: Error if provided any unmatched information.

Changes are made in some of the Upload modules: Customer Uploads, Invoice Upload, Vendor Upload, Accounts Upload, User Uploads, Bills Upload, Credit Memo Upload, Vendor Credits Upload.

While feeding data in Xoro through these Uploads, the following check is established:

  • In the case where the Mandatory Field Columns are left blank, the system will pick-up the default value. However, in case of any unknown value (That is not existing in the system), it will show an error and the Data could not be uploaded.

25. Global Payments: New Payment gateway added in Xoro**

Global Payments has been added to supported payments gateways in Xoro.

To connect, go to the “manage Payment Services” module.

Supported Currencies are USD, CAD, AUD, EUR

Just like Authorize.Net, Payments once saved need 24hrs to settle, before that transaction can’t be refunded

26. IP Restriction Implementation**

An App Config has been added to restrict the login access of certain IP addresses.

You will find this setting Under the “Advanced Security” tab of the App Config module.

By turning ON this setting “Use IP Restriction” you will enable the feature of restricting the IP addresses in the system.

In the “IP Restriction Approval Email(s)” you can set the email address(s), that are going to receive the email to grant access to that particular IP.

In the Email Template module you can set up the Email template for both IP Restriction and IP Added to whitelist.

In the IP restriction management module you can add the User name and IP address while adding IP addresses make sure they are IPV4 and IPV6 addresses only.

When IP is blocked it’s going to show a blocked page (send request).

After the request is successfully sent the emails added in the App Config will receive the confirmation email.

After granting access the same link will expire.

27. Running Sub-Total

An App Config setting has been added to calculate the Sub-Total amount for the lines whose sub-total amount has not been calculated.

How Does it Work?

Turn ON the setting from the “App Config” module under the general settings.

Now Open/Create a Sale Order. Add an Item with the Item Type “Sub Total” from the Add Item option.

  • The Running Sub Total amount can be calculated by adding it under the required Item line.

  • This can be kept wherever required, also multiple fields can be added.

This feature is available in the Estimate, Invoice, Purchase Order, Bill, Item Receipt modules…

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