Connect Amazon foundation
Amazon support in this phase is foundation-first. LedgerSync is designed to normalize settlement reports, fees, refunds, reimbursements, reserves, and payout transfers, but live SP-API access still depends on environment setup and marketplace approval.
What is available now
- - Amazon settlement CSV import workflows
- - Settlement normalization and reconciliation logic
- - Preview generation from normalized settlement data
What may still require setup
- - Amazon SP-API credentials
- - LWA app configuration
- - AWS role and signing setup
- - Marketplace-specific approval or sandbox access
Important warning
Amazon settlement reports can include marketplace facilitator tax, reserves, reimbursements, promotions, and adjustments. Review mismatches before generating any accounting preview.
Related articles
Keep moving through setup with the next most relevant guides.
Marketplace settlement reconciliation
Review how LedgerSync compares settlement lines, fees, refunds, and adjustments to the payout amount before preview generation.
Understand Amazon settlement reports
Learn how Amazon settlement reports group orders, fees, reserves, reimbursements, and deposits in LedgerSync.
Map revenue, fees, refunds, tax, and clearing accounts
Configure the accounting destinations LedgerSync uses for sales, discounts, shipping, taxes, refunds, fees, and payouts.
Troubleshooting common setup and sync issues
Resolve OAuth, shop-domain, realm ID, tenant selection, missing mappings, blocked previews, webhook failures, and worker issues.
Need help? Contact support
Support is the best next step when OAuth, imports, mappings, or reviewer access are blocked.