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Major Feature

Landed Cost Bills — every freight, duty, and handling bill in one register

Landed cost bills used to live scattered across the documents they belonged to. A freight invoice was tucked inside its purchase order, a customs bill inside another, an insurance premium inside an inbound shipment — and the only way to answer "which bills haven't been applied to my product costs yet?" was to open every document one by one. Landed Cost Bills is a new register that brings every bill together in a single searchable table, with live totals and an allocation status on every row, so a bill that hasn't reached your landed costs can't go unnoticed.

Major Feature

Vendor Credit OCR & Document Attachments — scan a credit memo, get a vendor credit

When a supplier issues a credit memo — a short shipment, transit damage, a price adjustment — someone has to key it into SKU line by line, and the PDF itself ends up buried in an inbox or a shared drive. Vendor Credit OCR & Document Attachments ends both problems: attach the credit memo straight to the vendor credit for a permanent audit trail, or upload it and let AI read it for you. SKU extracts the supplier, credit number, date, line items, and totals, matches each line to your products, and pre-fills a vendor credit you review and confirm — turning five to ten minutes of data entry into under two. And credit memos that arrive by email need no upload at all: the Document Inbox now recognizes them automatically and routes them straight to the credit memo review queue.

Major Feature

Sales Tax Reporting — file-ready tax by state, across every channel

Filing a state sales-tax return used to mean leaving SKU.io, exporting orders, and rebuilding the numbers in a spreadsheet — channel by channel, because each marketplace only shows you its own slice. Sales Tax Reporting brings the whole picture into one place: tax collected by destination state, the split between what you owe and what your marketplaces already remitted for you, and a live view of where you're approaching economic-nexus thresholds.

Major Feature

Inventory Revaluations — dated cost changes and a valuation report you can trust

If you've ever re-run the Inventory Valuation report "as of" a closed month and gotten a different number than last time, you know how unsettling that is — especially at month-end close. It happened because cost corrections (a late freight bill, a vendor invoice true-up, a write-down) silently rewrote history: the report always valued past inventory at today's cost. With Inventory Revaluations, every cost change is now a dated, auditable event. The valuation report values each period at the cost that was in effect on that date, so the same as-of date returns the same value — no matter what corrections land later.

Major Feature

Manufacturing — Build Finished Products and Cost Every Run

If you make or assemble what you sell, you've been stitching the production side together by hand — drawing down raw-material stock in one place, adding finished units in another, and working out what each batch actually cost in a spreadsheet. SKU now does all of it for you. Manufacturing lets you define a recipe once, run a manufacturing order to turn components into finished goods, and have SKU consume the raw materials, receive the finished product into stock, and post the accounting — automatically, every time you produce.

Major Feature

Apply Customer Store Credit to Sales Orders — settle a balance without taking a payment

When a customer has a store credit on file and a sales order they haven't paid yet, the obvious thing to do is use one to settle the other. Until now that took several manual steps — recording a fake payment, remembering to mark the credit as used, and reconciling both sides by hand. Applying Store Credit to Sales Orders turns that into a two-click flow: open the order's Payments tab, pick the credits to apply, and SKU records the allocation, updates the order's balance, and keeps the credit's remaining balance in sync — all in one go.

Major Feature

Vendor Deposits — track the money you send suppliers before the bill arrives

If you import from overseas, order custom tooling, or pay any supplier a deposit before production starts, you already know the awkward gap: the cash leaves your account weeks before a bill exists, and SKU had nowhere to put it. Until now that money lived in a spreadsheet or got hacked in as a negative bill line — which quietly corrupts your costs. Vendor Deposits closes the gap. It's a new first-class document that lets you record a prepayment, pay it, track it against the purchase order, and automatically net it off the supplier's bill when it finally lands.

Major Feature

Vendor Credits — close the loop on supplier returns and rebates

When a supplier issues a credit — for returned goods, a pricing correction, a damaged shipment, or a volume rebate — where does it go? Until now, the honest answer was usually a spreadsheet, or a manual journal entry in QuickBooks that SKU never saw. There was no record tying the credit back to the original purchase order, no way to apply it against a future bill, and no clean reversal of inventory cost. Vendor Credits changes that: a supplier credit is now a proper document in SKU, with a full lifecycle, that you can apply to bills, reconcile, and sync to your accounting platform.