Summary Product Information
Developed by FishBooks Pro for the Fishbowl Inventory community, FishSnap creates a "snapshot" of your company's inventory valuation over time according to a set schedule, which is set up in the Fishbowl Inventory Schedule module. This provides companies with a permanent historical record of inventory valuation for any given date.
The FishSnap Base package consists of a FishSnap Scheduler tool and a set of three (3) custom FishSnap SnapShot Reports:
- FishSnap Inventory By Date By Item
- FishSnap Inventory Vlauation By Date with Graph
- FishSnap Quick Inventory SnapShot
The FishSnap Enterprise package consists of the FishSnap Scheduler tool and the FishSnap SnapShot Reports included in the FishSnap Base package. The following FishSnap SnapShot Reports are also included:
- FishSnap Costlayer Breakdown By Date
- FishSnap Inventory Summary By Date and Location Group Pivot
- FishSnap Inventory Valuation By Date and Location Group
All FishSnap SnapShot Reports may be viewed at:
http://docs.fishbookspro.com/display/FBSN200/FishSnap+Reports
Installation Instructions
The purpose of this visual document is to illustrate and provide step-by-step instructions for installing the FishSnap 2.0, which includes the FishSnap Scheduler tool and accompanying FishSnap SnapShot reports into Fishbowl Inventory. Note that you will have to access the Fishbowl Inventory Server to install the FishSnap Scheduler tool. On the Server, copy and paste the FishSnap Scheduler tool (FBSnap.jar) into the "lib" folder within the Fishbowl folder structure. The menu path to follow is: "Program Files > Fishbowl > Server > Lib." Once you have completed this initial step, proceed to open your Fishbowl Inventory client and complete the following steps.
