Skip to content

Help / faq

Count variance and stock mismatches

What to do when a count does not match expected on-hand.

After you close a count Closing posts the new on-hand. Large variance appears in history so GMs can investigate waste, theft, or missed transfers.

Do not reopen lightly Prefer a new adjustment or recount session over editing a closed count. Keep the audit trail for month-end food cost.

Recipe and pack units Confirm count unit matches storage (case vs each). Wrong units look like variance when stock is actually fine.

See connected modules in your operation

Book a demo — we map Luminix to your locations, tier, and rollout timeline.

Book a demo