Interactive demo

Business seller

Show how larger sellers could manage team access, approvals, inventory, finance review, storefront programs, service commitments, and support ownership from one seller workspace.

TeamRoles and approvals
CatalogBulk inventory controls
FinanceStatements and holds
ServiceResponse and fulfillment standards

Team Access

  • Seller teams need roles for owner, inventory manager, listing editor, support responder, finance reviewer, and storefront merchandiser.
  • High-risk changes such as payout details, return policy, promoted placement, bulk publish, and restricted-category listings should require owner approval.
  • Every team action should show who changed it, which seller account it affected, and which route produced the change.

Approval Flow

  • Draft listings, bulk imports, price changes, reserve changes, service promises, and storefront shelves can move through review before publishing.
  • Approval cards should show item count, category risk, missing proof, fee impact, support exposure, and rollback option.
  • Denied changes should give sellers a specific repair path instead of vague rejection language.

Bulk Operations

  • Business sellers need batch drafts, inventory import, bulk price edits, quantity updates, template reuse, media repair, and hub routing.
  • Bulk changes should flag mismatched SKUs, duplicate photos, missing attributes, unsupported shipping choices, and risky category combinations.
  • Publishing should allow small batches, scheduled drops, saved-search alerts, and storefront collection updates.

Inventory Control

  • Inventory views should separate active listings, draft inventory, reserved orders, hub intake, sold items, returns, and unavailable stock.
  • Multi-location sellers need clear handoff rules for seller-packed shipping, hub-packed shipping, local pickup, and event inventory.
  • Catalog quality should show repeated missing attributes, duplicate risk, title-image mismatch, and repair priority.

Finance Review

  • Finance users need seller statements, fee lines, credits, refund reserves, payout readiness, tax status, and settlement history.
  • Open reports, return windows, verification gaps, and policy violations should explain why funds are held or released.
  • Exports should separate seller records, finance files, support evidence, and privacy requests with clear access rules.

Storefront Programs

  • Seller storefronts should support shelves, collections, follows, bundles, featured inventory, timed-drop candidates, and quality prompts.
  • Promoted placement needs buyer labels, seller budget limits, quality gates, reporting, and pause controls.
  • Growth tools should never hide seller quality, refund risk, item proof, or buyer protection cues.

Service Commitments

  • Business sellers should see response time, late shipment risk, pickup no-shows, cancellation rate, proof quality, and support case aging.
  • Service issues can reduce visibility, pause promoted placement, or require owner review before new inventory is published.
  • Seller support should provide clear next steps for item proof, buyer messages, returns, reports, and hub handoff issues.

Owner Approval

  • Owners should approve seller role design, bulk publish limits, storefront rules, fee visibility, finance exports, support ownership, and escalation paths.
  • Launch review should cover business seller onboarding, access audits, policy acceptance, tax readiness, payout readiness, and rollback controls.
  • Rollback should pause new business-seller actions while preserving listing history, order history, finance records, and support cases.
Identity checks center

Identity Checks

Business review, seller limits, finance readiness, role permissions, and appeal paths.

Seller dashboard

Seller Dashboard

Inventory, offers, auctions, handoff, reports, returns, and seller analytics.

Seller plan center

Seller Plans

Starter, Pro, Studio, team seats, limits, upgrades, downgrades, and owner review.

Inventory import workbench

Inventory Import

Column mapping, category templates, repair controls, publish review, and team audit notes.

Seller inventory center

Seller Inventory

SKUs, variants, quantities, draft stock, hub intake, relist choices, and repair actions.

Bulk listing tools

Bulk Listing

Batch drafts, reusable templates, photo requirements, quality checks, and hub routing.

Seller analytics dashboard

Seller Analytics

Demand signals, listing health, price actions, sell-through, and support pressure.

Seller storefront collections

Storefront Collections

Public shelves, follows, bundles, featured items, quality rules, and operator review.

Promoted placement center

Promoted Placement

Buyer labels, seller budgets, eligibility gates, reporting, and pause controls.

Access and audit center

Access & Audit

Role permissions, staff actions, approval records, privacy boundaries, and launch review.

Seller compliance center

Seller Compliance

Eligibility, tax readiness, category permissions, records, holds, and appeals.

Seller standards center

Seller Standards

Accuracy, fulfillment, communication quality, report response, limits, and appeals.

Seller finance readiness

Seller Finance

Fees, earnings, payout readiness, reserves, statements, and finance review.

Seller payout settings

Seller Payout Settings

Release schedule, reserves, holds, finance roles, statements, and owner approval.

Data export center

Data Export

Seller records, finance files, support evidence, privacy requests, and audit history.

Current demo state

Business seller tools are represented as a guided seller operations route.

The demo shows team access, approvals, bulk operations, inventory control, finance review, storefront programs, service commitments, and owner approval without creating real seller accounts.

Future platform state

Launch needs connected seller organization controls.

Launch needs verified business accounts, role-based permissions, approval history, bulk jobs, media storage, finance exports, support ownership, tax and payout review, and rollback controls.