Automated payout reconciliation
Transform marketplace and store payouts into organized summaries of sales, fees, refunds, taxes and more, then match them cleanly to deposits in your accounting platform.
See how A2X works
SellerVue


A2X transforms uncategorized payout data from ecommerce channels into organized summaries that reconcile with deposits in QuickBooks Online, Xero, Sage or NetSuite. Instead of flooding the ledger with individual orders, each payout becomes a clean, reviewable accounting entry.
Sellers and their accountants get accurate sales, fees, refunds, taxes and cost-of-goods data with less manual work — making month-end faster and financial reporting more useful as the business grows.
Transform marketplace and store payouts into organized summaries of sales, fees, refunds, taxes and more, then match them cleanly to deposits in your accounting platform.
See how A2X worksBring Amazon, Shopify, eBay, Etsy, Walmart and PayPal activity together without sending thousands of individual orders into your general ledger.
Explore integrationsAssign rules by transaction type, tax treatment and country so sales tax, VAT and GST are categorized consistently before each summary is posted.
Improve tax accuracyTrack cost of goods sold, profit margins and channel performance with cleaner financial statements built from complete, categorized ecommerce data.
See reporting features“I was effectively flying blind, but I now have accurate financials to make better decisions.”
“When it comes to doing bookkeeping for Amazon sellers, A2X is our non-negotiable tool.”
“With A2X and my accountant, I always know which parts of my business are profitable.”