- الرئيسية
- Apps
- Multichannel & PIM Tools
- Amazon Seller / FBA Connector
معاينة توضيحيةA per-tenant Business Central (AL) extension that automates Amazon Seller Central and FBA order,
inventory, listing and settlement sync across multiple marketplaces — built, installed and supported by
ECOSIRE on your tenant.
ما هو Amazon Seller / FBA Connector؟
A per-tenant Business Central (AL) extension that automates Amazon Seller Central and FBA order, inventory, listing and settlement sync across multiple marketplaces — built, installed and supported by ECOSIRE on your tenant. Built to order by ECOSIRE for Dynamics 365 BC (build-to-order) — indicative price from $999.00 USD; request a quote for a scoped proposal.
الميزات الرئيسية
مبني حسب الطلب، ننجزه بالكامل لك
لا إعداد يدوي — تطبيق جاهز يبنيه ويثبّته ويدعمه ECOSIRE.
- 1
تطلب
ابدأ بسعر بناء لمرة واحدة. نحدّد النطاق معك عند الانطلاق.
- 2
نبني ونثبّت
يقوم ECOSIRE ببنائه وتهيئته وتثبيته على Dynamics 365 Business Central الخاص بك.
- 3
الإطلاق + الدعم
تنطلق خلال أسبوع عمل واحد تقريبًا، مع أسبوعين من الدعم بعد التشغيل. نصلح عيوب الكود الذي نسلّمه مجانًا.
عن هذا المنتج
The Amazon Seller / FBA Connector is a build-to-order Microsoft Dynamics 365 Business Central extension that closes the gap between Amazon Seller Central / FBA and your BC ledgers. It is not an instant AppSource download — ECOSIRE designs, builds, installs and supports it as a per-tenant extension on your specific Business Central environment (cloud SaaS or on-prem), tuned to your item numbering, locations, dimensions and posting setup.
Under the hood it is written in AL using table extensions and page extensions over Sales Order, Item and Posted Sales Invoice, with event subscribers wiring Amazon events into native posting routines. Order and fulfillment pulls run on the Job Queue against the Amazon Selling Partner API (SP-API), with OAuth (LWA) token handling, throttling and retry built in. Inbound documents are written through standard BC objects so your G/L, inventory valuation and customer ledger stay correct and auditable.
Orders flow in from both Seller-Fulfilled and FBA channels and map to sales orders with the right ship-to, marketplace and tax context. Inventory and listing sync keeps price, available stock and descriptions aligned between BC items and Amazon listings. FBA inbound shipments reconcile against BC quantities, and settlement reports import fees, refunds and reimbursements as posted entries so finance can reconcile payouts without spreadsheets. Multi-marketplace support spans NA, EU and MENA regions from one tenant.
ECOSIRE handles SP-API app registration guidance, permission sets, a sandbox build, UAT on your data, and go-live. Optional Dataverse / Power Platform surfacing exposes order and intent data to Power BI and Power Automate. You get source-aligned documentation, a defined lead time, and an ongoing support and update path.
ما تحصل عليه
- Per-tenant Business Central AL extension (.app) built to your environment, installed by ECOSIRE on sandbox then production
- SP-API connection setup including LWA OAuth configuration guidance and Amazon developer app registration support
- Configured marketplace, item/SKU mapping and dimension mapping for your NA/EU/MENA marketplaces
- Job Queue entries for scheduled order, inventory and settlement synchronization
- Dedicated permission sets and role assignment for connector users
- Sandbox build, UAT cycle on your data, and supervised production go-live
- Source-aligned configuration and operations documentation plus an admin handover walkthrough
- Defined post-go-live support window with bug fixes and BC-version compatibility updates
لمن هذا
Amazon multi-marketplace seller on Business Central
Operations lead running FBA and seller-fulfilled across NA/EU/MENA who needs orders, stock and payouts to land in BC automatically instead of via CSV exports.
Finance / accounting manager
Owns payout reconciliation and wants Amazon fees, refunds and reimbursements imported as posted entries so settlement reports tie out to the bank without manual journals.
BC administrator / IT lead
Responsible for the tenant who wants an upgrade-safe, per-tenant AL extension with proper permission sets and Job Queue scheduling rather than brittle in-house scripts.
كيف يقارن Amazon Seller / FBA Connector.
| المعيار | ECOSIRE | بناء مخصص | منافس | Dynamics 365 Business Central الأصلي |
|---|---|---|---|---|
| Native two-way Amazon Seller Central + FBA order sync into BC | متضمنة | دعم جزئي | متضمنة | غير متضمنة |
| Settlement / fee / reimbursement import as posted BC entries | متضمنة | دعم جزئي | دعم جزئي | غير متضمنة |
| Multi-marketplace NA/EU/MENA from one tenant | متضمنة | دعم جزئي | دعم جزئي | غير متضمنة |
| Tailored to your item/SKU, dimensions and posting setup | متضمنة | متضمنة | غير متضمنة | غير متضمنة |
| Upgrade-safe per-tenant AL extension (no base-object forks) | متضمنة | دعم جزئي | متضمنة | غير متضمنة |
| Built, installed and supported on your tenant by the vendor | متضمنة | غير متضمنة | دعم جزئي | غير متضمنة |
| Optional Dataverse / Power Platform surfacing | متضمنة | دعم جزئي | دعم جزئي | دعم جزئي |
| Fixed one-time build cost with defined lead time | متضمنة | غير متضمنة | غير متضمنة | غير متضمنة |
الأسئلة المتداولة حول Amazon Seller / FBA Connector
How long until the connector is live, since this isn't an instant AppSource download?
Correct — this is build-to-order, not a one-click install. Typical lead time is one working week: scoping and SP-API access setup, then the AL build, then a sandbox UAT cycle on your data before supervised production go-live. The exact timeline depends on how many marketplaces, your item/SKU mapping complexity, and Amazon developer-app approval, all confirmed in writing before we start.
What does ongoing support and updates look like after go-live?
Every build includes a post-go-live support window covering bug fixes, sync error triage and compatibility updates when Microsoft ships new Business Central releases or Amazon changes the SP-API. Because it is installed as a per-tenant extension, we update it directly on your tenant. Extended support and enhancement retainers are available if you want a longer-term relationship.
Is it installed on Business Central cloud (SaaS) or on-prem?
Both are supported. We deploy the AL extension as a per-tenant extension on BC SaaS, or install on a BC on-prem / Docker environment. SP-API calls require outbound HTTPS, which we configure as part of setup.
Will it interfere with our G/L, inventory valuation or BC upgrades?
No. The connector uses table and page extensions plus event subscribers rather than modifying base objects, so it is upgrade-safe. All financial impact flows through native BC posting routines, keeping your general ledger, inventory valuation and customer ledger entries correct and fully auditable.
Can it handle multiple Amazon marketplaces and the MENA region?
Yes. One tenant can sync NA, EU and MENA marketplaces, each with its own currency, tax context and item/price mapping. We configure marketplace-specific mappings during the build so the same BC items list correctly across regions.
Do we need our own Amazon SP-API / developer credentials?
Yes — Amazon issues SP-API access to the seller account holder. We guide you through registering the developer application and the LWA OAuth authorization, and the connector stores and refreshes those tokens securely. You retain ownership of the Amazon credentials.
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Amazon Seller / FBA Connector
A per-tenant Business Central (AL) extension that automates Amazon Seller Central and FBA order, inventory, listing and settlement sync across multiple marketplaces — built, installed and supported by ECOSIRE on your tenant.
- Order import from both Amazon Seller Central (seller-fulfilled) and FBA channels into native BC sales orders with marketplace, currency and tax context preserved
- Two-way inventory and listing sync — price, available quantity and product description aligned between BC items and Amazon listings
- FBA inbound shipment creation and inventory reconciliation against BC quantities and locations
- Settlement and fee import — Amazon settlement reports posted as fees, refunds and reimbursements for clean payout reconciliation