Seller workspace

Load stock, answer the cycle, ship once, then settle money

The seller side exists for four clear jobs: keep inventory truthful, answer cycle offers, build one outbound parcel for the month, and understand payout posture without leaving the same area.

Open inventory

What needs attention first

Inventory

Keep one live stock table the cycle can trust

Load inventory by preview import or catalog-assisted add, then keep quantity, source, and verification posture readable in one place.

0 / 0 visible0 units0 need attention
Open inventory
Seller offers

Answer only when the cycle actually selected you

This lane is the seller pre-commit window: read payout, line count, and TTL, then accept or reject without mixing that decision with packing or payouts.

0 pending0 accepted0 expired
Review offers
Packing

Turn accepted work into one hub-bound shipment

Accepted lines only matter when they become one clean shipment for the cycle, with tracking and weight attached at the same moment.

0 awaiting pack0 active shipments0 pouch events
Open packing

Live inventory table

No seller inventory is stored yet. Use the import flow or bulk upsert to populate this table.