Commerce → UmiPort → Accounting

Connect once.
Stay reconciled.

UmiPort connects commerce platforms to the accounting software you already use—then automatically moves, maps and reconciles sales, returns, fees, taxes and settlements.

One-time connections Automated accounting flow Continuous reconciliation
Sync healthAll systems normal
Amazon IndiaMarketplace
TallyPrimeAccounting
Sales synced₹184,520
Returns₹12,440
Amazon fees₹28,830
Exceptions2
Latest settlement#875421
Amazon₹427,615
Accounting₹427,615
Difference₹0
✓ Reconciled
The problem

Commerce accounting should not start with a spreadsheet.

Marketplace finance is fragmented across orders, returns, commissions, fulfilment fees, taxes, reimbursements, reserves and settlements. UmiPort turns those events into one controlled accounting flow.

Automatic synchronization

Keep marketplace financial events moving into your books without repetitive downloads, CSV clean-up or manual voucher entry.

Settlement reconciliation

Match gross sales, returns, fees, taxes, reimbursements and payouts so differences become visible instead of disappearing into “miscellaneous”.

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Exception-first automation

If a transaction cannot be mapped safely, UmiPort flags it for review rather than silently posting an uncertain accounting entry.

How UmiPort works

A controlled pipeline from marketplace event to reconciled books.

Every source event is retained, normalized into UmiPort’s universal transaction model, mapped by configurable accounting rules and posted through the connected ERP adapter.

01

Connect Amazon

Authorize your Seller Central account and select the marketplaces and history you want to synchronize.

02

Connect accounting

Connect TallyPrime through UmiPort Bridge or authorize Zoho Books securely.

03

Approve mappings

Review suggested sales, fee, tax, clearing and bank ledger mappings. Create missing ledgers only when approved.

04

Turn on auto sync

UmiPort continuously imports, validates, posts, verifies and reconciles. Exceptions remain visible until resolved.

CommerceOrders · Returns · Fees · Settlements
UmiPortNormalize · Map · Validate · Reconcile
AccountingTallyPrime · Zoho Books
Complete financial lifecycle

More than an order importer.

UmiPort is designed around the full marketplace financial lifecycle, because a sale is not complete until the related fees, taxes, returns and settlement are correctly represented in accounting.

Orders and sales
Cancellations
Returns and refunds
Referral commission
FBA and storage fees
Shipping and promotions
Marketplace taxes
GST / TCS / TDS supporting data
Reimbursements
Adjustments and reserves
Settlements and payouts
ERP posting status and audit trail
Built for accuracy

Automation without losing control.

UmiPort keeps the original marketplace evidence, records every transformation, prevents duplicate posting and routes uncertain events into an Exception Center.

See the control model
Transaction audit
10:14:21Amazon event received
10:14:22Normalized
10:14:22Accounting rule applied
10:14:25Sent to ERP
10:14:26ERP confirmed
Launch integrations

Start focused. Expand through adapters.

UmiPort V1 stays deliberately focused on Amazon Seller Central, TallyPrime and Zoho Books. The underlying transaction model is designed so additional marketplaces and accounting systems can be added later without rebuilding the core engine.

Amazon Seller Central

Seller-authorized marketplace connection for orders, financial events, reports and settlement data.

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TallyPrime

Local accounting connectivity through UmiPort Bridge, with queued posting and confirmation when Tally is available.

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Zoho Books

Cloud accounting connection using delegated authorization and organization-aware mappings.

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UmiPort V1

Connect once. Stay reconciled.

Be among the first sellers and accounting teams to test UmiPort with real marketplace workflows.

Request early access