Supply Chain & Logistics in Saudi Arabia — Multi-Warehouse & Landed Costing
Master inter-warehouse stock transit, container tracking, and landed cost distribution. Automatically allocate freight, customs duty, and clearance charges into item unit valuation.
Live Supply Chain
From Inter-Branch Transfer to Landed Cost Capitalization
FINAC manages multi-warehouse logistics behind the scenes. Transfer stock safely between hubs while freight and clearance costs automatically capitalize into item valuation.
Transfer Note
Central warehouse creates inter-branch stock transfer order (IBT).
Stock in Transit
FINAC posts stock value to Transit GL Asset account automatically.
Landed Costing
Freight, duty & clearance bills allocated by weight or volume.
GRN Acceptance
Destination branch receives stock with updated accurate unit valuation.
Every Workflow Built for Simplicity & Power
Explore how FINAC connects physical inter-branch stock transfers to precise landed cost accounting.
Distribute freight, customs duty, demurrage, and port clearance charges across received purchase orders proportional to weight, volume, or item value.
- Multi-currency freight & duty invoice allocation
- Automatic re-valuation of inventory asset GL ledger
- Proportional allocation by gross weight, CBM volume, or value
- Container & shipment tracking per purchase order
- Accurate Landed Cost COGS margin reporting
Seamless stock movement between central distribution hubs and retail branches with automated Stock-in-Transit GL asset tracking.
- Transit shortage & damage audit tracking
- Multi-warehouse stock reservation & dispatch
- Automated Goods-in-Transit GL asset ledger account
- Barcode dispatch & receiving verification
- Branch-to-branch stock request authorization
Track commercial shipment containers from port arrival to warehouse gate entry with status updates and clearing agent AP ledgers.
- Port container arrival & demurrage date alerts
- Clearing agent Accounts Payable ledger tracking
- Bill of Lading (BL) & GD customs document attachment
- Demurrage penalty avoidance warnings
- Batch container receiving GRN entry
Link freight forwarder and transporter bills directly to specific shipment notes to eliminate duplicate freight payments.
- 3-way freight bill matching (Trip Sheet vs Bill vs PO)
- Logistics vendor ledger balance tracking
- Freight cost per km / per kg analysis
- Automated freight expense allocation to inventory
- Transporter payment voucher authorization
Module Breakdown — Simple to Advanced
| Supply Chain Area | Everyday Simple Function | Advanced Enterprise Control |
|---|---|---|
|
Landed Cost
|
Fast freight charge log on purchase bill | Exact proportional capitalization by weight/volume to GL |
|
Stock Transfer
|
Simple branch dispatch note creation | Dedicated Stock-in-Transit GL account & shortage audit |
|
Container Tracking
|
Container arrival date notification | Bill of Lading tracking, GD attachment & demurrage log |
|
Freight Vendor AP
|
Transporter bill balance tracking | 3-way trip sheet matching & freight per kg variance |