FBN Received Report & GRN Report
The FBN Received Report & GRN Report are
essential tools for tracking the total stock received by noon from sellers
under the FBN (Fulfilled by Noon) model. These report allow sellers to monitor product reception, identify
discrepancies, and address QC (Quality Control) issues effectively. This guide
explains how to access the reports, understand their structure, and leverage
them for key use cases.
How can I access the report?
Follow these simple steps to access the FBN Received
Report in Seller Lab:
- Navigate
to Reports:
-Click the Navigation menu at the top-left corner of the
screen.
-Go to Fulfilled by noon and select Reports.
- Generate the Report:
-Click on Generate Report.
-Choose the report name as Inbound and select the inbound report as FBN Received Report
- Select the date range and download:
-Select the date range and then click on Generate Report.

FBN GRN Report
How to Download GRN from Seller Lab
GRN Details
The GRN report offers you the following information
- psku_code: The PSKU of the item.
- sku: The SKU generated by the system when you create the listing.
- qty: The quantity of the SKU in the warehouse.
- cubic_feet: The cubic feet of the SKU that you transferred.
- storage_type_code: The type of storage facility your SKU is stored in.
- pbarcode_code: The barcode of the SKU.
- product_fulltype_code: The product fulltype of the SKU.
- brand_code: The brand of the item.
- cluster_code: The main category to which your product belongs.
Related Articles
FBN Inventory Detail Report
The FBN Inventory Detail Report is a comprehensive report designed to provide sellers with accurate insights into their inventory stored at Noon fulfillment centers. It includes details about saleable and non-saleable stock across various warehouse ...
Reports & Analytics Comprehensive Overview
Stay on top of your performance with noon’s sales dashboards, analytics tools, and inventory reports. This section equips you with the knowledge to analyze sales, track financial metrics and manage inventory effectively. Sales Overview Understanding ...
Understand the FBN Eligible Items Report (replenishment report)
Managing inventory is crucial for maintaining customer satisfaction and ensuring steady sales. The FBN Eligible Items Report is a powerful, real-time optimization tool that helps you identify which SKUs to replenish, assess future demand, and ...
Return to Vendor (RTV) Report
When you transfer stock to Noon’s warehouses, it remains your property and can be retrieved at any time, subject to retrieval fees. To provide transparency and clarity, Noon offers two reports in Seller Lab to help you manage and track retrieval ...
FBN Inventory Removal Process
This guide provides detailed instructions for FBN sellers to manage inventory stored in Noon fulfillment centers, covering retrieval and disposal processes for both sort and non-sort items. Understanding Sort and Non-Sort Items Sort Items: Products ...