Bi-directional Communication
Transmit data bi-directionally between your Amazon front-end and Acumatica back-office software as soon as orders are placed and your financial information is updated. Gain a unified connection for order fulfillment, product availability, Amazon fees, payments, and taxes.
Reports and Dashboards
Display key metrics from Amazon sales transactions, trends, and customer activities right from configured dashboards to quickly see your business at a glance and take swift action.
Order Synchronization
Sales orders are imported via the latest Amazon Selling Partner API. FBA orders are automatically imported into Acumatica as sales invoices, and MFN orders are imported as sales orders.
Manage Shipment Tracking
Allow buyers to track their shipments through Amazon as soon as an order is shipped.
Protect Customers' Personal Information
Comply with privacy regulations using advanced encryption to keep buyers anonymous and their personally identifiable information (PII) safely protected.
Enable Split Shipments
Determine how to accommodate multiple shipments, split orders, and back-ordered products with flexible configuration rules in Acumatica.
Process Returns, Exchanges, and Refunds
Automate and harmonize Amazon data for FBA and FBM returns, exchanges, and refunds. Amazon return requests create RMAs and credit memos in Acumatica for sales returns. FBA returns update inventory in the Amazon Virtual Warehouse. Full and partial refunds and exchanges are supported with corresponding inventory and financial updates in Acumatica.
Inventory Reconciliation
Connect fulfilled-by Amazon (FBA) transaction data with Acumatica to close the loop on inventory inside your physical warehouse and stock at FBA locations. Automate inventory movement via shipment transactions and transfer orders, enabling inventory tracking and transparency. Reduce manual reconciliation through automated updates with dashboards to quickly identify and resolve inventory variances.
Automate Settlement Reports for Fee Transparency
Optimize efficiency by automating the integration of Amazon settlement reports into your bank transaction workflow. Remove the burden of manual data entry, accelerate reconciliation processes, and achieve full visibility into Amazon’s fee structures and payment cycles—empowering more productive operations.