How to combine NetSuite data with Amazon Seller Central data

Here's how to use the How to combine NetSuite data with Amazon Seller Central data

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What is NetSuite?

NetSuite is a cloud-based business management suite that handles everything from ERP and financials to CRM and e-commerce. It provides real-time visibility into various business operations, helping companies streamline their processes and make data-driven decisions. As an industry leader in cloud business software, NetSuite serves thousands of organizations worldwide with its scalable and customizable platform.

What is Amazon Seller Central?

Amazon Seller Central is a web interface used by merchants to manage their selling accounts on Amazon's marketplace. It serves as a central hub where sellers can manage inventory, update pricing, monitor sales, and handle customer communications. This platform provides crucial data about product performance, customer behavior, and business metrics essential for Amazon marketplace success.

Why would you want to combine NetSuite data with Amazon Seller Central data?

Combining data from NetSuite and Amazon Seller Central can provide powerful insights and streamline operations for businesses selling on Amazon while managing their backend with NetSuite.

  • Create a unified view of inventory across all sales channels
  • Reconcile financial data between platforms for accurate reporting
  • Track product performance metrics alongside operational costs
  • Automate order fulfillment and inventory updates
  • Generate comprehensive business analytics and forecasting
  • Streamline accounting and financial reporting processes

How to use NetSuite with Parabola

Parabola's NetSuite integration allows you to seamlessly import and transform your business data without any coding required.

  • Automatically sync NetSuite data on a scheduled basis
  • Transform complex NetSuite data structures into actionable formats
  • Combine NetSuite information with other data sources for comprehensive analysis

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Retrieving data from NetSuite

Before you can begin finding and replacing values, you'll need to pull your data from NetSuite into Parabola. The process starts with the Pull from NetSuite step, which connects directly to your NetSuite saved searches and brings your data into your Flow.

Key features

  • Connect to any saved search in NetSuite
  • Pull real-time data updates
  • Filter data at the source
  • Support for all NetSuite record types

How to use

  1. Add the Pull from NetSuite step to your Flow
  2. Connect your NetSuite account
  3. Select the saved search you want to use
  4. Configure any additional filters or parameters
  5. Run the step to preview your data

How to use Amazon Seller Central with Parabola

Parabola's Amazon Seller Central integration enables sellers to automate their data analysis and reporting workflows efficiently.

  • Access detailed sales and inventory data automatically
  • Transform raw Amazon data into actionable insights
  • Combine marketplace data with other business metrics

Retrieving data from Amazon Seller Central

Parabola's integration with Amazon Seller Central allows users to pull various types of reports directly from their seller account. This secure connection enables automatic data retrieval and updates, ensuring you're always working with the most current information.

Key features

  • Automated data extraction from multiple report types
  • Secure API authentication
  • Customizable date ranges for data retrieval
  • Real-time data synchronization
  • Support for multiple marketplace regions

How to use

  1. Navigate to the Pull from Amazon Seller Central step in your Flow
  2. Authenticate your Amazon Seller Central account
  3. Select the desired report type and date range
  4. Configure any additional parameters
  5. Run the step to import your data

Combining NetSuite and Amazon Seller Central

Once you have both data sources imported into your Parabola Flow, you can combine them using the Combine Tables step. This powerful feature allows you to merge data based on common fields, creating a comprehensive dataset for analysis.

Key features

  • Multiple joining methods
  • Automatic column matching
  • Custom key field selection
  • Duplicate handling options
  • Preview of combined data

How to use

  1. After you add your data sources to the Canvas, add the Combine tables step to your Flow
  2. Drag the arrow from your data sources to the Combine tables step on the Canvas
  3. Choose the columns to match between the tables
  4. Configure the join type
  5. Preview and verify the combined results

Practical use cases and examples

Inventory reconciliation

Automatically match inventory levels between NetSuite and Amazon Seller Central to prevent stockouts and maintain accurate counts across all channels. This helps ensure optimal stock levels and improves order fulfillment efficiency.

Financial reporting automation

Create comprehensive financial reports by combining Amazon sales data with NetSuite accounting information. This provides a complete picture of business performance and simplifies month-end closing procedures.

Order fulfillment optimization

Track order processing times and shipping performance by combining Amazon order data with NetSuite fulfillment records. This enables better resource allocation and improves customer satisfaction through faster delivery times.

By leveraging Parabola's powerful data integration capabilities, businesses can automate the process of combining NetSuite and Amazon Seller Central data, saving time and reducing errors while gaining valuable insights. The platform's no-code approach makes it accessible to teams of all technical levels, enabling them to build sophisticated data workflows with ease.