Qoo10 Data, Rebuilt for Closing
Connect Qoo10 Data
Securely integrate payment and settlement data directly from Qoo10.
Structure & Reconcile
Automatically structure raw marketplace data into close-ready financial reports — matched and verified.
Deliver to ERP
Push structured journal entries into your ERP and complete financial close with confidence.
Built for Financial Teams
Orders, fees, refunds, taxes, and settlements. Automatically structured into standardized financial reports.
Match Qoo10 settlement reports 1:1 with actual bank deposits. No manual Excel checks.
Normalize revenue and fees by SKU, ASIN, country, or entity to generate ERP-aligned reports.
Recognize revenue by buyer payment date, shipping date, delivered date, settled date. Aligned with your policy.
Consolidate multiple Qoo10 accounts, regions, and legal entities into one structured reporting environment.
Eliminate manual downloads, adjustments, and reconciliation work. Significantly reduce close time.
