Amazon Acumatica Integration
Amazon pays you in settlement statements that net together thousands of sales, refunds, commissions, fulfillment fees, storage charges, and reserves. Entriwise unpacks every statement into the GL accounts, subaccounts, and branches your Acumatica books are organized around — and proves the total against the bank deposit.
Accounting-first Amazon automation, built for Acumatica Cloud ERP and its consumption-based licensing model. Now onboarding early-access partners.
Designed for Acumatica teams that want:
Order Sync Alone Doesn't Close Your Books
Connectors that push Amazon orders into Acumatica solve fulfillment — and quietly hand your controller a new problem. The money story lives in settlement statements, and until those are translated into your chart of accounts, three questions stay open every close:
What is actually inside each deposit?
A single Amazon payout nets sales against refunds, a dozen fee types, reimbursements, and rolling reserves. Entriwise itemizes the statement so the deposit is explainable line by line — not a plug entry.
Where should each fee post?
Referral commissions are not fulfillment fees, and storage is not advertising. Entriwise routes each Amazon charge type to the GL account and subaccount combination your finance team defines, so expense reporting stays meaningful.
What will this volume cost in Acumatica?
Acumatica licensing scales with resource consumption. Posting every FBA order as its own document burns through transaction volume for records nobody reads. Entriwise compacts FBA activity into daily summaries by design.
What Entriwise Posts Into Acumatica
Documents your team can drill into, audit, and reconcile — organized around the structures Acumatica already gives you.
Sales as Invoices and Cash Sales
Amazon order revenue posts as AR documents dated to the correct financial period, so income is recognized when it happens — not two weeks later when the settlement closes.
Refunds as Credit Memos
Customer refunds and concessions become credit documents tied to the same items and periods, keeping net revenue honest instead of hiding returns inside deposit math.
Every Fee Type to Its Own GL Account
Referral commissions, FBA fulfillment, storage, advertising, subscriptions, reimbursements, and adjustments each route to the account and subaccount your controller assigns.
Deposits That Match the Bank Feed
The recorded settlement activity sums exactly to the Amazon transfer, so bank reconciliation in Acumatica becomes a match, not an investigation.
Stock Items, Kits, and Warehouses
Marketplace SKUs map to Acumatica stock items and kits — including multipacks and many-to-one relationships — so quantities and COGS deplete correctly in the right warehouse.
Branch and Subaccount Aware
Amazon activity flows into the branch and segmented subaccount structure you already report with, so marketplace results consolidate cleanly across the organization.
Thousands of Orders. A Handful of Documents.
Acumatica's pricing model is one of its best features: unlimited users, pay for the resources you consume. It also means a naive integration that creates one document per Amazon order works directly against your license.
Entriwise posts FBA activity as daily summary documents — revenue, refunds, fees, and inventory depletion for the whole day in a compact set of records. Your books stay period-accurate, your transaction volume stays flat, and your data entry tier stays where you planned it. Seller-fulfilled orders can still post individually when the warehouse needs them.
- ✓ 10x–1000x fewer documents than per-order posting
- ✓ Daily accrual cutoffs keep each financial period accurate
- ✓ Per-order posting stays available for seller-fulfilled workflows
Same accounting truth. A fraction of the consumption.
Already Using Acumatica's Amazon Connector? Good.
Acumatica's native Amazon connector is built for commerce operations: listings, orders, and fulfillment. Entriwise is built for the other half of the job — the settlement statements, fee accounting, and payout reconciliation that determine whether your Amazon channel is actually profitable. Run them together, or use Entriwise standalone if finance is the priority.
Operational connectors
- • Listing and catalog sync
- • Order download for fulfillment
- • Shipment confirmation
Entriwise: the finance layer
- • Settlement statement itemization
- • Fee, refund, and reimbursement GL mapping
- • Payout-to-bank reconciliation
- • Daily summaries and SKU-level COGS
How Early-Access Onboarding Works
Connect
Authorize Amazon Seller Central through the official Selling Partner API and link your Acumatica instance. No password sharing, no screen scraping.
Map
Match marketplace SKUs to stock items and kits, and assign each Amazon fee and adjustment type to the GL accounts, subaccounts, and branches you report with.
Validate
Import historical settlements and verify with our team that every statement reconciles against its bank deposit before automation takes over.
Run
Daily imports post automatically. Your close gets faster, your deposits tie out, and your feedback steers what we build next.
Help Shape the Amazon–Acumatica Integration
Entriwise has spent a decade automating Amazon accounting for QuickBooks and NetSuite finance teams. We are bringing that settlement-first engine to Acumatica, and we are onboarding a limited group of early-access partners. Partners get priority implementation and a direct line into the roadmap — your fee mappings, your edition, your workflows become the reference build.
Amazon Acumatica Integration FAQ
Your Amazon Channel Deserves Real Acumatica Financials
Settlement statements shouldn't end up as one mystery deposit and a spreadsheet. If you run Amazon and Acumatica together, tell us — early interest directly decides how fast this integration ships and what it supports first.
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Evaluating ERPs? See how Entriwise handles Amazon accounting in NetSuite.