Reporting

Reports that come from the workflow, not a second spreadsheet.

Because intake, sales, splits, and payouts run through one system, reporting is a read of what happened rather than a reconstruction. Start with the operational numbers stores actually check.

Live operations stream

A compact view of the work moving through intake, listings, sellers, and payouts.

10:24Item intake

RCV-892 moved from intake to authentication.

In review
10:42Listing sync

LST-2041 pushed photos and price to Shopify.

Synced
11:08Payout batch

PAY-118 collected three seller statements.

Ready

Source of truth

ConsignEase

Item record

LST-2041

Mulberry Bayswater Tote

Ready
SellerEleanor HardingCON-210
Target priceGBP 340.00
Commission42% seller share
ChannelShopify storefront
Payout pathPending sale

Authenticated and priced

10:24

GBP 340.00 target. Added by Sarah Jenkins.

Operational events are the raw material for every report.

What it covers

Intake throughput

Items received, reviewed, and cleared to list, so backlog is visible before it hurts.

Sell-through

What sells, how fast, and at what discount, by category and by seller.

Payout position

Total owed to sellers right now, and what the next batch will cost, without a reconciliation session.

Sync health

Shopify listing and order sync status, so channel drift gets caught early.

How it works
  1. 01

    Data accrues in the workflow

    Every intake, sale, and payout is already structured data with dates and owners.

  2. 02

    Views answer questions

    Dashboards read the operational truth directly. There is no export-and-pivot step.

  3. 03

    Deeper reporting is coming

    Pilot stores help prioritise which reports matter most before public launch.

Pilot access

Launching with a small group of UK resale stores.

Start with one workflow. Get founder-led onboarding. Shape the product around real store operations before public launch.