Managing multiple entities, subsidiaries, or brands requires sophisticated inter-company coordination. This session explores how Fulfil enables seamless transactions, inventory transfers, and financial consolidation across your business entities while maintaining proper accounting separation and compliance.
Whether you're expanding internationally, managing multiple brands, or operating complex corporate structures, this training will help you maintain operational efficiency while ensuring proper financial controls and reporting.
What you'll learn
Setting up inter-company entities and relationships
Learn how to configure multiple companies within Fulfil, establish inter-company relationships, and set up proper chart of accounts separation while enabling seamless data sharing where appropriate.
Inter-company inventory transfers and pricing
We'll explore how to manage inter-company inventory transfers and cross-entity order fulfillment, including drop-shipping, enabling you to maintain proper revenue recognition and cost allocation in complex fulfillment arrangements.
Consolidated financial reporting and elimination entries
Discover how to generate consolidated financial statements, handle inter-company elimination entries, and maintain audit trails across all entities for compliance and reporting purposes.
Re-invoicing and managing expense distribution
Explore how to create expense invoices in the parent/paying entity and distribute these through invoices to related entities within the system using the re-invoicing workflow.