Daily Amazon – ecomdash Inventory Sync
Budget: ₹100 – ₹101 INR
Each day I export the full inventory file from ecomdash and the Active Listings report from Amazon Seller Central, then reconcile the two in Excel. I need a reliable hand to take over this routine so quantities always match and overselling never happens.
What the workflow looks like:
• Export the SKU and latest quantity from ecomdash.
• Download Amazon’s Active Listings report with available quantity.
• Load both data into Excel, match SKUs, and flag every mismatch.
• Sync the correct quantity from ecomdash to Amazon for any SKU that doesn’t match.
• Log every adjustment in a running spreadsheet and generate a Microsoft To-Do task summarizing the day’s changes so I have a clear audit trail.
This has to happen daily, without fail. Accuracy is non-negotiable, so familiarity with Amazon Seller Central reports, ecomdash exports, and VLOOKUP in Excel is essential.
Deliverables I expect:
1. Synchronized Amazon quantities reflecting ecomdash stock by close of business each day.
2. A neatly formatted Excel comparison sheet saved in our shared drive.
3. A Microsoft To-Do notification listing SKUs corrected, original vs. new quantity.
If you already automate similar reconciliations and can keep error rates effectively at zero, let me know how soon you can start.
What the workflow looks like:
• Export the SKU and latest quantity from ecomdash.
• Download Amazon’s Active Listings report with available quantity.
• Load both data into Excel, match SKUs, and flag every mismatch.
• Sync the correct quantity from ecomdash to Amazon for any SKU that doesn’t match.
• Log every adjustment in a running spreadsheet and generate a Microsoft To-Do task summarizing the day’s changes so I have a clear audit trail.
This has to happen daily, without fail. Accuracy is non-negotiable, so familiarity with Amazon Seller Central reports, ecomdash exports, and VLOOKUP in Excel is essential.
Deliverables I expect:
1. Synchronized Amazon quantities reflecting ecomdash stock by close of business each day.
2. A neatly formatted Excel comparison sheet saved in our shared drive.
3. A Microsoft To-Do notification listing SKUs corrected, original vs. new quantity.
If you already automate similar reconciliations and can keep error rates effectively at zero, let me know how soon you can start.