Amazon is deprecating the MWS Reports API, which the Amazon Pay Reports API has now replaced. Previously, Amazon Pay was integrated within the Amazon Seller Central APIs in the Payout to Reconciliation Automation for NetSuite app. Now, the app manages Amazon Pay through a dedicated connection.
A new flow has been introduced to address this deprecation, and the To be deprecated tag has been added to the old flow. Below is the screenshot.
Note
This feature has been released in Beta for the JP region.
Migrate to the new Amazon Pay settlement report list and transactions flow
To migrate the Request Amazon Pay settlement report list and its transactions flow:
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Sign in to your Celigo integrator.io account.
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Navigate to the Payout to Reconciliation Automation for NetSuite app tile.
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Click Connections. You will see three connections listed: Amazon Pay, NetSuite, and Amazon Seller Central.
Note
The connection may appear offline or online since it is new. You must authenticate this connection as explained below.
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In the Actions column, click the three dots and select Edit Connection for the Amazon Pay connection.
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Fill in the details and complete all of the required* authentication settings. For more information, see Set up a connection to Amazon Pay.
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Click Save.
Note
In the Amazon Pay settlement transactions to NetSuite deposit flow, under the Post Payout(s) to NetSuite as Custom Record import, ensure to remove the date format from the Payout Date field mapping. There is no need to manually adjust the date format, as the conversion is already handled on the backend.
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Now, click the Flow tab.
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Turn on the toggle to enable the Request Amazon Pay settlement report list and its transactions flow. Then, run and schedule the flow according to your requirements.
Once you successfully migrate to the new flow, you can go ahead and disable the old flow.
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