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SyncBiller Marketplace

E-Commerce Settlement & Profit Reconciliation

Normalize marketplace settlements, explain deductions, reconcile bank payouts and calculate true order profitability without changing Tally authority.

Workflow diagram — not a screenshot

E-Commerce Settlement & Profit Reconciliation

1Amazon / Flipkart / Meesho / Shopify-ready normalization
2Settlement and bank variance analysis
3Fees, returns, tax deductions and contribution profit
4Tenant and company scoped access

Who should use it

Owners, administrators and operational teams that need e-commerce settlement & profit reconciliation inside the same governed tenant as their Tally-connected workflows.

Business problem solved

Normalize marketplace settlements, explain deductions, reconcile bank payouts and calculate true order profitability without changing Tally authority.

Requirements

An active SyncBiller tenant, the required module entitlement and the appropriate role/company assignment. Authenticated workspace: /subscriber/ecommerce-reconciliation.

Detailed capabilities

What the module supports

Amazon / Flipkart / Meesho / Shopify-ready normalization

A published E-Commerce Settlement & Profit Reconciliation capability available within its tenant and permission boundaries.

Settlement and bank variance analysis

A published E-Commerce Settlement & Profit Reconciliation capability available within its tenant and permission boundaries.

Fees, returns, tax deductions and contribution profit

A published E-Commerce Settlement & Profit Reconciliation capability available within its tenant and permission boundaries.

Tenant and company scoped access

A shared SyncBiller control applied to the module workspace.

Role-aware actions and audit evidence

A shared SyncBiller control applied to the module workspace.

Search, filters and operational exports

A shared SyncBiller control applied to the module workspace.

Responsive web workspace

A shared SyncBiller control applied to the module workspace.

Clear Tally/Connector authority boundaries

A shared SyncBiller control applied to the module workspace.

Workflow

From entitlement to governed action

1

Enable

Platform availability and tenant entitlement are checked.

2

Assign

Administrators assign company, branch and role access.

3

Operate

Users work in the E-Commerce Settlement & Profit Reconciliation screens and APIs.

4

Review

Statuses, approvals, exports and audit evidence remain visible.

Platform coverage

Web, mobile and accounting boundaries

SaaS functionality

The browser workspace exposes the published E-Commerce Settlement & Profit Reconciliation screens, search, filters and actions after entitlement and role checks.

Mobile functionality

Mobile capability is advertised only where a real mobile workflow exists; the web entitlement alone does not invent a mobile screen.

Tally & Connector

Connector interaction is used only by implemented flows. Tally-authoritative accounting results are not presented as posted until the corresponding acknowledgement exists.

Workflow demo

E-Commerce Settlement & Profit Reconciliation from access to audited outcome

No product screenshot is published until it has been captured from the authenticated module route with safe demo data. The diagram below is explicitly not a screenshot.

Workflow diagram — not a screenshot

TenantEntitlementRole / companyModule actionAudit / status

Reports

Operational lists, statuses and exports are exposed where implemented. Core financial reporting remains available separately in Reports Centre.

Permissions

Module entitlement, tenant membership, role and company/branch access are enforced before data or actions are returned.

Audit & state

Pending, approved, queued, acknowledged and failed states are kept distinct; the UI does not turn an unconfirmed external action into success.

FAQ

Questions about this module

Is E-Commerce Settlement & Profit Reconciliation included in core SyncBiller?

Marketplace entitlement is separate from the core subscription unless its current commercial configuration explicitly says otherwise.

Does this page guarantee every provider or hardware integration?

No. Provider, device and physical output integrations require their configured service and real UAT.

Can administrators control access?

Yes. Module entitlement is combined with tenant roles and company or branch assignments.

Does it overwrite Tally accounting?

No. Connector-bound accounting actions remain queued or pending until Tally acknowledgement is received.