Design preview prepared by Rembrandt Designs — not yet live
RemWorth Try it free

Seller software for wholesale & online arbitrage · amazon.com · US only

Some of last month's profit never existed.

RemWorth reads your profit from the deposits Amazon actually paid you — order by order, statement by statement. Every figure on your dashboard traces to a settlement line or a cost you recorded. And when a number can't be proven yet, you see a labeled gap. Never a guess.

Free for 14 days. Card required · cancel any time Start now
The 3-pack priced as a singlepack count detected and multiplied, then double-checked at buy time
The gated palletyour own account's verdict, checked fresh every scan
The vanished freightfolded into per-unit COGS automatically
The 3 missing unitsshipped vs. received, checked automatically, around the clock
The light depositevery settlement checked against your books, line by line
One buy, walked to the bank

The sheet said 48% ROI. Here's where it went.

You've made this buy. A row on a supplier sheet, great numbers, so you ordered deep. Then: the listing was a 3-pack — your sheet had the single price, real cost triple. Your account was gated in the brand — the shared database said ungated, about somebody else's account. The Buy Box dropped $4 between the scan and the order. The fee table was stale — 40 cents light per unit, times 500 units. Freight ran $180 and never entered your per-unit cost. You shipped 60, Amazon checked in 57 — nobody noticed, no claim filed. A restocked return got expensed twice. The deposit came in light and your tool's "estimated payout" couldn't explain why. None of these showed up as losses. They showed up as profit that was never really there — and the tool you're using now can't show you that, because the tool you're using now wrote half of it. You didn't quit your last tool because it was slow. You quit the day you caught it making a number up.

Losses dressed as profitEvery bullet has a screen now
Did it sell?every settled sale carries the exact cost of the units that filled it
What did Amazon keep?every fee categorized from the settlement, under Amazon's own fee names
Did the deposit match?a $12,000 deposit read order by order, with the delta shown per statement
Where are the missing units?say the books hold 40 units Amazon doesn't — the rows flag themselves
Does the honesty run both ways?supplier money recovered and money written off, both on the record
01What nobody else competes on

Every tool asks "can I sell it, will it profit?" Nobody asks what happened next.

The before-questions are table stakes — we answer those too, on the Find & Check page. The after-questions are the ones that decide whether you're actually making money, and every one below has its own screen with a real answer on it. Here's the shape of a month, as a worked example.

Every answer has a screenNothing hides in an average
Uncosted saleheld out of profit, listed with the dollars at stake
Failed gating lookupCOULDN'T CHECK — a verdict, not a green light
Unknown cost on a salea dash, never a fake $0.00
Partial perioddashed "to date" bar, never a fake sales dip
Missing cost inputthe profit card says so, in amber, by name
02The one rule every screen obeys

An unknown number shows as a labeled gap. Never a guess.

An uncosted sale is held out of profit until you cost it — never booked at a fake $0. A gating check that fails says COULDN'T CHECK — never green. A half-finished month renders as a dashed bar marked "to date." An incomplete profit figure turns amber and names what's missing. You will see fewer numbers here than on other dashboards. Every one of them is real.

Fewer numbers, all realThe rule, not a feature
Find & Checkprice sheet in, ranked buy list out — UPC Scanner and Bulk Checker included in every plan more on Find
Buy & Shipcheckout to Amazon's dock, nothing re-typed, every unit costed more on Ship
Knowthe money page: P&L from settlements, deposits reconciled, tax by state more on Know
Adsa full PPC optimizer that never touches your ads until you've read the file more on Ads
Lensthe extension that reads your own books while you browse Amazon more on Lens
03One subscription, the whole trade

Find it. Buy it. Ship it. Know what you made.

Four workflow pages that follow your money in order, plus a product that lives on the Amazon page itself — and a pricing page written like we expect you to read it (pricing).

The seller's own loopNo feature maze
ConnectAmazon's official consent flow — approve in Seller Central, done
Ordersas fast as Amazon allows, with automatic re-syncs behind them
Settlementsingested automatically; books self-correct to statement truth
Historybackfill starts automatically on connect
The testour revenue reads against Seller Central exactly — principal-only, on purpose
04Three steps, one test

Connect. Watch it fill. Then check us.

One click through Amazon's official consent flow — approve inside Seller Central, done, no developer keys to paste. Historical backfill starts the moment you connect, so day one isn't an empty dashboard. New orders land in your books as fast as Amazon allows; settlements are ingested automatically and the books converge to the statements Amazon pays you from. Then run the test we built the product to survive: compare our revenue line to Seller Central, and our profit to your bank deposit.

No sync button to babysitLater, never wrong
Payout"estimated" → the settlement Amazon actually issued, reconciled line by line
Cost per saleone ASIN-level average → the exact FIFO layer, traceable to the supplier order
Gatinga shared database → your connected account, checked fresh every scan
Adsautopilot rewrites overnight → a file you review row by row and upload yourself
Missing dataa number anyway → a labeled gap, with the reason
05Comparison

Their engine is estimation. Ours is the settlement.

Every column on the left is how the category works — estimated fees over hand-typed costs, a payout it calls "estimated," a shared gating database, an autopilot you don't get to read. Every column on the right is checkable against your own bank.

Falsifiable on purposeamazon.com, US only — stated plainly
The moneya $12,000 deposit read order by order, every line categorized
The reconciliationeach statement checked against the books, delta shown per statement
The findphantom stock — books that say you own units Amazon no longer holds — flagged automatically
The honestysupplier money recovered and money written off, both printed
A worked batch$1,240 cost → $3,180 value → $1,378 estimated net, freight and fees in
06What the screens actually show

Follow one buy from the price sheet to the bank.

Here's the shape of it, as a worked example. A batch costs $1,240 landed. It lists at $3,180 of value. Estimated net after fees and freight: $1,378 — computed per unit, traceable per sale. When the deposit lands, it gets read order by order, and anything the books can't yet prove is held out and labeled instead of guessed.

Held funds visible, never blurred into profitEvery figure traceable to its line
Solo$169.99/mo · 4,000 AI scan rows a month · the whole product
Pro$299.99/mo · 15,000 AI scan rows a month · the whole product
The differenceAI scanning capacity. That's the whole list.
Included in every planUPC Scanner · 500-ASIN Bulk Checker · Lens
Top-upsone-time AI scan rows, never expire, drawn after plan rows run out
07Two flat plans

Your bill doesn't climb because your business worked.

Solo $169.99/mo. Pro $299.99/mo. Both carry the whole product — financials, inventory, shipping, ads, Lens. The difference is AI scanning capacity: 4,000 rows a month on Solo, 15,000 on Pro. Full detail, including the parts other tools put in small print, on the Pricing page.

Grow without the bill growingThe whole product on both plans

Straight answers

The questions you'd ask on a call.

Short answers here; every one expands on its own page.

Is this for private label?
It's built for wholesale and online arbitrage on amazon.com. If you buy from suppliers or retailers and resell, this is your tool.
Other marketplaces?
No. amazon.com, US only. We'd rather tell you here than after you've connected.
How fast do orders show up?
As fast as Amazon allows — orders land the moment Amazon makes them available, with automatic re-syncs behind them.
What does "reconciled" mean here?
A settlement's lines — revenue, fees, refunds, reimbursements, ad spend — checked against your books with the delta shown per statement. Not "we downloaded the report."
Do I abandon my history?
No. Import years of history from the listing tool you're leaving, plus old settlement files — the match rate is shown before you commit. see the know page

The pitch, in one test

Connect your account. Check our numbers against your bank.

That test is the whole pitch. Fourteen days, the full product on your real data, card required — stated here, not in fine print. Cancel yourself, in the billing portal, no email to support.

Day 1connect; backfill starts itself
Day 2revenue vs. Seller Central — it should match to the line
Week 1cost the gaps; the Cost Basis tab lists them
Week 2our profit vs. your bank deposit
Any daycancel, self-serve, no call