Monthly P&L Reconciliation
Import reports, detect the reporting period and track settlement totals without manually entering the month.
Reconcile monthly P&L reports, track return events, compare settlement changes and connect account SKUs to your own Master SKU structure.
Everything you need to understand orders, settlements and SKU performance.
Import reports, detect the reporting period and track settlement totals without manually entering the month.
Keep distinct Order Item IDs as separate events and understand returns, replacements and settlement changes.
Connect different account SKUs to a consistent Master SKU structure for product-level analysis.
Spot overlapping records and changed values without double-counting repeated imports.
Keep each brand's data isolated with role-based access and a workspace switcher.
Review detailed tables, filters and exportable summaries for seller accounting workflows.
Move beyond disconnected spreadsheets with a structured workspace for report versions, item events, settlement changes and product performance.
Explore the workspace →Practical guidance for understanding seller reports.
Learn how report imports, workspaces and reconciliation are intended to work.
Ask another question →Have a question about access, reports or reconciliation? Send a message and we’ll help you find the right next step.
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Support chat / WhatsApp option can be configured in the final build.