Amazon SP-API connector

Read-only Amazon data for cleaner ecommerce books.

Account-Flow imports seller-authorized Amazon source data so sales, settlements, fees, inventory, payouts, and accounting records can be reconciled with confidence.

What the connector does

Amazon source data for reconciliation, reporting, and monthly close.

The Account-Flow Amazon connector is designed for sellers who authorize read-only SP-API access as part of an Account-Flow bookkeeping, reconciliation, inventory/COGS review, or management reporting workflow.

1. Source-data imports

Imports seller-authorized Amazon orders, reports, marketplace participation details, settlements, fees, reimbursements, inventory, and related accounting source records where available.

Read-only access

2. Payout reconciliation

Helps tie Amazon activity back to payouts, deposits, clearing accounts, fees, refunds, reserves, and accounting records so revenue and cash movement can be reviewed clearly.

Payout-to-books tie-out

3. Close + reporting support

Supports month-end close, inventory and COGS review, exception reporting, and owner-ready management reporting built from source-backed Amazon data.

Accounting-first outputs

Permissions posture

Built to avoid seller-account changes.

Account-Flow does not use this connector to create or edit Amazon listings, change pricing, message buyers, create shipments, issue refunds, update payout or bank settings, or make account/security changes.

1Seller-authorized accessThe seller authorizes Account-Flow for the approved accounting and reporting workflow.
2Separate client credentialsEach seller connection is stored separately from Account-Flow app credentials and from other client accounts.
3Source-backed reportingImported records are used for reconciliation, close support, and management reporting.

Need help?

Questions about the Amazon connector?

Contact Account-Flow support for authorization, data handling, deletion, or reconciliation questions.

Contact support