Popular reconciliation template
EasyEcom vs Myntra Reconciliation
Reconcile EasyEcom orders with Myntra sales, payment, return, deduction, fee, commission, tax, reverse shipping, and settlement reports in one structured workflow.
View demo reportReconcile EasyEcom orders with Myntra marketplace records
Myntra and EasyEcom reports can include orders, invoices, SKUs, returns, refunds, fees, commissions, taxes, deductions, reverse shipping, payments, and settlement amounts. Cointab helps bring these into a clear reconciliation report.
The EasyEcom vs Myntra reconciliation helps finance teams compare order and sales records from EasyEcom with Myntra marketplace reports, payment data, and settlement records.
This helps finance teams answer questions such as:
- Which EasyEcom orders are present in Myntra reports?
- Which Myntra sales are missing in EasyEcom?
- Which EasyEcom orders are not paid or settled by Myntra?
- Which returns, refunds, cancellations, or reverse shipping entries reduced the Myntra payment?
- Which Myntra fees, commissions, taxes, or deductions explain the difference?
- Which Myntra payment entries do not have a matching EasyEcom order?
- Which SKU, order, invoice, or settlement records need follow-up or internal review?
This template is useful for eCommerce brands, Myntra sellers, D2C companies, marketplace finance teams, accounting teams, and businesses that need a repeatable EasyEcom Myntra reconciliation process.
Required files for this template
Cointab's ready-made workflow is designed around EasyEcom order records and Myntra reports used for sales, return, reverse shipping, deduction, payment, and settlement reconciliation.
| Data source | Example records |
|---|---|
| EasyEcom Order / Sales Report | Used as the internal source-of-truth report containing orders, channel order IDs, invoice numbers, SKUs, customer details, order status, sale amount, tax, discounts, and expected receivable values. |
| Myntra Sales Report | Used to compare EasyEcom records with Myntra order-level or transaction-level sales, SKU, invoice, return, tax, fee, and marketplace details. |
| Myntra Payment / Settlement Report | Used to compare Myntra sales and deduction activity with payment-level or settlement-level data and final payment amounts. |
| Return / Refund Report | Used where Myntra returns, refunds, cancellations, reverse adjustments, or customer refund entries need to be reconciled separately. |
| Reverse Shipping Report | Used where reverse logistics, return shipping charges, RTO charges, or reverse shipment adjustments need to be reviewed with sales and payment data. |
| Fee / Deduction Report | Used where Myntra commissions, marketplace fees, shipping charges, penalties, claims, taxes, adjustments, or other deductions need to explain payment differences. |
| Internal ERP / Books Report | Optional, but useful if the finance team also wants to compare EasyEcom and Myntra data with accounting, ERP, receivable, or revenue records. |
| Bank Statement | Optional, but useful if the finance team wants to compare Myntra payments or settlements with actual bank credits. |
| Supporting Data | Optional supporting files can be used for SKU mapping, product mapping, channel mapping, tax mapping, invoice mapping, fee logic, return logic, settlement logic, or other enrichment. |
What Cointab matches in EasyEcom Myntra reconciliation
Cointab compares EasyEcom orders, Myntra sales, returns, reverse shipping, deductions, fees, payments, settlements, and bank receipts across internal and marketplace reports.
EasyEcom orders and Myntra sales
Match EasyEcom orders, channel order IDs, invoices, or SKU records with corresponding Myntra sales or transaction records.
SKU and product records
Compare SKU, product code, item ID, quantity, invoice, or order-level details across EasyEcom and Myntra reports.
Returns and refunds
Identify whether Myntra returns, refunds, cancellations, and reverse adjustments are correctly reflected against EasyEcom records.
Reverse shipping and RTO records
Review whether reverse shipping, RTO, return logistics charges, or reverse shipment adjustments are correctly reflected in Myntra payment data.
Fees and deductions
Track Myntra commissions, marketplace fees, shipping charges, tax deductions, penalties, claims, adjustments, or other deductions where available.
Payment and settlement amounts
Compare expected Myntra receivables with actual payment or settlement records.
Bank and books records, if added
If bank statements, ERP, or books data are included, Cointab can also compare Myntra payment records against bank credits and accounting entries.
Common EasyEcom Myntra reconciliation exceptions
Cointab helps finance teams focus on differences instead of manually reviewing every EasyEcom order and Myntra transaction.
EasyEcom order not found in Myntra
An order appears in EasyEcom but is not found in Myntra sales or payment reports for the selected period.
Myntra sale without matching EasyEcom order
A Myntra sale or marketplace transaction appears without a clear matching EasyEcom order, channel order, invoice, or SKU record.
Amount mismatch
The order, invoice, SKU, or marketplace reference matches, but the amount recorded in EasyEcom and the amount reported by Myntra are different.
Return or refund difference
A return, refund, cancellation, or reverse adjustment appears in Myntra but does not match the expected EasyEcom or internal record.
Reverse shipping difference
Reverse shipping, RTO, or return logistics charges appear in Myntra reports but do not match expected return or shipment records.
Fee or commission difference
Myntra fees, commissions, shipping charges, taxes, penalties, or deductions explain part of the difference between expected receivable and actual payment.
Payment timing difference
A sale or return belongs to one period but is paid or settled by Myntra in a later cycle.
Payment without matching transaction
A Myntra payment or settlement entry appears without a clear matching sales, return, fee, reverse shipping, or deduction record.
SKU or product mapping mismatch
A SKU, product code, item name, or internal product reference does not map correctly between EasyEcom and Myntra reports.
Duplicate or repeated entry
The same order, invoice, SKU, return, payment, or settlement entry appears more than once or is included in multiple files.
Missing or unclear reference
EasyEcom order ID, Myntra order ID, channel order ID, invoice number, SKU, payment reference, or settlement ID is missing, incomplete, or appears inside a description field.
Skipped record
A row cannot be reconciled because required data is missing, invalid, duplicate, incomplete, or unusable.
How this ready-made reconciliation works
Cointab pre-configures the workflow so your team does not need to rebuild the EasyEcom Myntra reconciliation setup every period.
Select the template
Choose EasyEcom vs Myntra from popular reconciliations.
Select the period
Choose the day, week, month, quarter, year, lifetime period, or custom period you want to reconcile.
Upload EasyEcom and Myntra reports
Upload your EasyEcom order or sales report, Myntra sales or payment report, and any required settlement, return, refund, reverse shipping, fee, deduction, bank, or supporting files.
Validate file format
Cointab checks whether the uploaded files match the expected structure and highlights missing or incorrect columns.
Run reconciliation
Cointab applies predefined data preparation and matching logic for EasyEcom and Myntra marketplace data.
Review output
View fully matched, partially matched, unmatched, and skipped records.
Download or automate
Download the Excel report, or automate future data input and output through email, SFTP, or APIs.
Structured matching first, AI assistance for difficult cases
Cointab applies structured reconciliation logic first, then uses AI to help with difficult open transactions where fixed rules are not enough.
Structured matching
Structured matching can use:
Matching scenarios
One-to-one
One EasyEcom order or invoice matches one Myntra sales or payment record.
One-to-many
One EasyEcom order maps to multiple Myntra records such as sale, fee, tax, return, refund, reverse shipping, deduction, or payment entries.
Many-to-one
Multiple Myntra transactions are grouped into one payment, settlement, bank receipt, or accounting entry.
Many-to-many
Multiple EasyEcom records and multiple Myntra records are grouped and compared.
Partial matching
Identifiers match, but amounts differ.
Net and contra matching
Sales, returns, refunds, commissions, taxes, reverse shipping, deductions, adjustments, payments, and settlements are netted where required.
AI-assisted transaction matching
After structured rules run, AI helps match difficult open transactions where:
- References are incomplete
- EasyEcom and Myntra references do not match directly
- SKU or product references are inconsistent
- Descriptions contain embedded order, invoice, SKU, payment, or settlement references
- Return or refund entries do not directly map to sales
- Reverse shipping entries need contextual review
- Fees and deductions require contextual review
- Sale date and payment date fall in different periods
- Multiple possible matches exist
AI exception analysis
For transactions that remain open, AI can help identify possible reasons such as:
AI assists matching and exception review, but Cointab keeps reconciliation transparent, reviewable, and audit-friendly.
Audit-ready EasyEcom Myntra reconciliation reports
Cointab gives your team a clear report showing which EasyEcom and Myntra transactions matched, partially matched, remained unmatched, or were skipped.
Report categories
Fully matched
EasyEcom and Myntra records where identifiers and amounts match.
Partially matched
Records where identifiers match but amounts differ.
Unmatched in EasyEcom
Myntra sales, payments, deductions, returns, refunds, reverse shipping, or settlement records that do not clearly match EasyEcom records.
Unmatched in Myntra
EasyEcom orders, invoices, SKU records, or internal sales records that are not found in Myntra reports.
Skipped
Records excluded due to missing, invalid, duplicate, incomplete, or unusable data.
Report capabilities
- Summary cards
- Transaction-level details
- Filters for review
- SKU-level view
- Payment-level view
- Settlement-level view
- Difference amounts
- Matched transaction drill-down
- Manual match
- Undo manual match
- Excel export
- Audit-friendly output
Automate recurring EasyEcom Myntra reconciliation
Once this workflow is stable, Cointab can automate file input, reconciliation runs, and output delivery.
Bring data into Cointab
Data can be received or pulled through:
Run automatically
Schedule reconciliation:
Push output back
Send reconciliation output to:
- Matched EasyEcom orders
- Matched Myntra transactions
- Unmatched EasyEcom records
- Unmatched Myntra records
- Return/refund differences
- Reverse shipping differences
- Fee or commission differences
- Tax or deduction differences
- SKU-level exceptions
- Payment differences
- Settlement differences
- Open items
- Suggested actions
- Excel reconciliation report
- Structured API output
View a EasyEcom Myntra reconciliation demo report
See how Cointab presents EasyEcom vs Myntra output with matched, partially matched, unmatched, and skipped transactions.
EasyEcom vs Myntra Demo
Explore a sample report showing EasyEcom orders, Myntra sales, returns, reverse shipping, deductions, payments, settlements, and open items.
View demo reportExplore related marketplace and eCommerce reconciliations
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View templateBuilt for eCommerce teams reconciling EasyEcom and Myntra data
This template is useful for teams that regularly reconcile EasyEcom orders, Myntra sales, returns, reverse shipping, deductions, payments, settlements, and open marketplace items.
eCommerce brands
For brands using EasyEcom to manage orders and reconciling Myntra marketplace activity with sales, returns, and receivables.
Myntra sellers
For sellers who need a repeatable process to check whether Myntra sales, deductions, and payments match internal records.
D2C companies
For D2C teams selling through Myntra and managing high-volume marketplace sales, returns, fees, reverse shipping, and payment differences.
Marketplace finance teams
For teams handling EasyEcom reports, Myntra sales reports, payment reports, deduction files, return data, and exception review.
Accounting teams
For teams preparing reconciliation reports for month-end close, books, receivables, revenue review, and audit.
Outsourced finance teams
For accounting firms or finance operations teams handling EasyEcom and Myntra reconciliation for multiple clients.
Trusted by teams handling eCommerce and marketplace reconciliation
Cointab is used by finance and operations teams that reconcile high-volume, multi-source transaction data across order management systems, marketplaces, payment gateways, banks, partners, and internal systems.
“We have worked on many softwares but we love the ease of using cointab. The staff and support is very instant. They are approachable, proficient and patient. Team is very cooperative with the customisations. The experience of using cointab was nice.”
EasyEcom vs Myntra FAQs
Start EasyEcom vs Myntra reconciliation
Use Cointab's ready-made EasyEcom Myntra reconciliation workflow to match orders with marketplace records, identify payment differences, review exceptions, and export audit-ready reports.
View demo reportReady-made workflow · Reusable every period · Manual upload and automation supported