HOW-TO · 库存

如何在不停仓的情况下盘点仓库库存

Run a cycle count while orders keep moving. ChannelDock's Cycle Counting feature helps ecommerce teams count selected bins, record adjustments and keep inventory accuracy improving without a full warehouse shutdown.

Scope
select zones and SKUs
Freeze
pause only counted bins
Correct
post explainable deltas
Live cycle countIn progress
A-01Counting12 SKUs locked
B-03Pickingorders keep moving
C-02Queuednext cycle
Scan shelf -> compare -> adjust -> sync

Cycle counting matters because annual stock counts discover errors after they have already affected orders, purchasing and marketplace stock.

Daily rhythmbeats annual panic
Zone scopelimits disruption
Clear deltasexplain corrections
Clean syncupdates channels

Before you start: stock count prerequisites

A warehouse stock count only works during live operations when the scope, ownership and transaction rules are clear before anyone starts scanning shelves.

Count scope

Choose the SKUs, bins or warehouse sections that can be counted today without blocking the whole pick path.

Transaction rules

Decide how to pause picks, receipts, transfers and replenishment for the counted locations while the rest of the warehouse stays active.

Access and devices

Give counters the right ChannelDock permissions, barcode scanners or mobile devices, and a supervisor who can approve corrections.

Tip: count a narrow area well instead of a large area badly. The goal is a repeatable accuracy habit, not a heroic one-day inventory project.
Count together

Cycle counts work when the whole team shares one source of truth

Stock accuracy improves when counters, supervisors and channel managers review the same numbers in the same session. ChannelDock keeps those conversations tied to real bins, SKUs and explainable corrections—not a spreadsheet that is outdated before the aisle is finished.

  • Zone scope
  • Freeze bins
  • Sync stock
Warehouse team and ChannelDock discussing stock count results together

分步指南:在运营继续时盘点仓库库存

Use this workflow to run a cycle count, isolate active bins briefly and update stock without shutting down order fulfillment.

Select a countable slice of the warehouse

Pick a zone, aisle, supplier group, ABC class or high-risk SKU group. Keep the first count small enough that the team can finish it before the next picking wave.

Common mistake: starting with the whole warehouse and then leaving half-counted locations open overnight.

Schedule the count around movement peaks

Plan the task before receiving starts, between pick waves or during a lower-volume hour. Tell pickers which bins are being counted and how long they are unavailable.

Common mistake: counting during active replenishment, so the number changes while the counter is still on the aisle.

Temporarily freeze only the counted locations

Pause picking, put-away and stock transfers for the selected bins. Keep all other locations open so customer orders can continue.

Common mistake: freezing the SKU everywhere instead of freezing only the physical location being counted.

Scan bins and record physical quantities

Use barcode scanning where possible, then count sellable units, damaged units and reserved stock separately. Record the real shelf quantity before looking for explanations.

Common mistake: counting cartons as units or mixing damaged stock into sellable stock.

Compare system stock with shelf stock

Review each difference in ChannelDock Cycle Counting. Check open orders, recent receipts, returns, reservations and pending marketplace updates before approving an adjustment.

Common mistake: adjusting every mismatch immediately without checking whether a transaction is still pending.

Approve corrections with a reason code

Post corrections only after a supervisor reviews material differences. Add reason codes such as damage, missing receipt, picking error, supplier variance or found stock.

Common mistake: using one generic stock correction reason, which hides recurring process problems.

Release the location and sync updated stock

Once corrections are approved, reopen the bins and let stock level sync push accurate quantities to connected marketplaces and webshops.

Common mistake: forgetting to release the counted location, leaving pickers blocked after the count is complete.

Review patterns and schedule the next cycle

Look for repeated differences by SKU, supplier, picker, bin or warehouse section. Use those patterns to decide what should be counted weekly, monthly or only after exceptions.

Common mistake: treating the count as finished when the correction is posted instead of fixing the cause.

The live cycle-count flow

The safest stock count is a controlled loop: choose a small scope, pause only that area, count, correct, reopen and learn from the variance.

Select zone
Freeze bin
Count shelf
Approve delta

Common warehouse stock count pitfalls

  • Counting a location while picks, put-away or replenishment are still moving through that same bin.
  • Correcting stock without checking open orders, returns, reservations or recently received purchase orders.
  • Using annual counts as the only accuracy control, so small errors become expensive write-offs.
  • Mixing damaged, quarantined and sellable stock in one number and then syncing that total to marketplaces.
  • Skipping reason codes, which prevents the team from spotting recurring supplier or picking issues.

Manual stock counts vs. ChannelDock Cycle Counting

A clipboard count can find a number. A controlled cycle-count workflow keeps that number useful for orders, replenishment and marketplaces.

Without ChannelDock

  • Teams count from printed lists that may already be out of date.
  • Corrections are entered later with weak audit trails and generic reasons.
  • Marketplace stock may remain wrong until someone manually updates each channel.

With ChannelDock

  • Cycle-count tasks focus the team on selected bins, SKUs or sections.
  • Differences are reviewed with context before corrections are approved.
  • Accurate stock can flow back into inventory sync, alerts and replenishment workflows.

Explore ChannelDock Cycle Counting ->

仓库库存盘点 FAQ

Use cycle counting: select a limited area, freeze only the counted bins, scan and count physical stock, approve corrections, then reopen the area while the rest of the warehouse continues working.

A full physical inventory counts everything at once, often with operations paused. A cycle count counts selected SKUs or locations on a rotating schedule so accuracy improves continuously.

Freeze the specific location being counted, not the entire warehouse. Stop picks, receipts and transfers for that bin until the count is approved and released.

Count high-value, fast-moving or error-prone SKUs more often than slow-moving products. Many teams use weekly counts for A-items and monthly or quarterly counts for lower-risk stock.

Common causes include missed receipts, picking mistakes, damaged goods, supplier shortages, returns not booked correctly, unrecorded transfers and marketplace reservations that were not considered.

ChannelDock Cycle Counting helps teams create count tasks, review differences, approve stock corrections and keep live inventory workflows moving.

库存准确性相关指南

After cycle counts are running, tighten the inventory workflows that depend on accurate physical stock.

Sync inventory across channels

Push corrected stock to every marketplace and webshop.

Read how-to

Prevent overselling

Use better stock accuracy to reduce risky marketplace sales.

Read how-to

Set up low-stock alerts

Trigger replenishment from cleaner stock baselines.

Read how-to

Manage multi-warehouse stock

Keep counts and transfers clear across multiple locations.

Read how-to

让库存盘点成为日常运营的一部分

Use ChannelDock Cycle Counting to count selected locations, approve corrections and keep accurate inventory flowing to every sales channel.