Amazon and Noon in One Dashboard
Bring every connected seller account into a shared operating view without losing marketplace or country context.
D3 Seller organizes Amazon, Noon, stock, supply and finance workflows into dedicated pages that make the next step understandable.
Marketplace activity, available stock, inbound supply and purchase planning use one shared product record.
Bring every connected seller account into a shared operating view without losing marketplace or country context.
See revenue beside cost, marketplace fees, refunds, landed cost, and contribution margin at product level.
Keep owned warehouses, Amazon FBA, Noon fulfilment, stock states, transfers, and movements visible together.
Use sales velocity, future available stock, open purchase orders, inbound quantities, and lead time before buying.
Finance teams can move from order revenue through COGS, fees, refunds, bank matching, journals and close review.
Review payout lines, marketplace fees, taxes, refunds, and bank matching before finance exports are approved.
Connect internal products to marketplace listings, costs, sales, inventory, and margin for a consistent product record.
Separate FBA, merchant-fulfilled, Noon fulfilment, owned warehouse, and inbound stock while keeping one total view.
Keep supplier terms, MOQs, product links, purchase orders, documents, lead times, and landed costs connected.
See how long stock has been held and where working capital is slowing.
Plan replenishment with open POs, lead times, velocity, and future stock.
Keep supplier contacts, terms, MOQs, costs, and product links together.
Allocate freight, duty, and inbound costs to the inventory received.
Draft and trace movements between owned, FBA, and Noon locations.
Keep return and refund effects visible in order and settlement review.
Separate commissions, fulfilment, storage, advertising, and other fee lines.
Review Noon-specific fee lines before settlement and accounting export.
Map marketplace, purchasing, inbound, and operating expenses to accounts.
Connect purchase commitments, inbound spend, settlements, and bank matching.
Give operations, finance, warehouse, buyer, accountant, and auditor roles focused access.
Surface stock, cost, settlement, connector, and close exceptions in one action center.
Prepare CSV and XLSX outputs for valuation, COGS, journals, and month-end work.
Queue sync, review, notification, and exception actions with audit history.
Amazon and Noon connections, product mapping, inventory, suppliers, purchase orders, inbound, valuation, COGS, settlements, accounting exports, alerts, users and roles.
D3 Seller does not present unimplemented accounting, shipping, storefront or payment connectors as available, and does not claim tax filing or unverified certifications.
Bring your marketplace and inventory questions. We will show the relevant operating route, not a generic sales deck.