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Automated Noon Partner Center Payout Reconciliation

Every settlement cycle, WebRun opens noon Partner Center, reads the latest settlement report and payout figure, compares it against the expected sales total for the period, posts the reconciliation to Microsoft Teams with any gap flagged, and schedules a calendar reminder ahead of the next cycle.

Runs on WebRun · Strict Lockdown policy
Every other Monday at 9:00 AM WebRunorchestrates each step
1 Noon check the settlement report
2 Microsoft Teams post the reconciliation summary
3 Google Calendar schedule the next review
In short

How do I reconcile my noon marketplace settlement payouts?

WebRun reads your noon Partner Center settlement report every cycle, compares the payout figure against expected sales, posts the reconciliation to Microsoft Teams with any gap flagged, and schedules a calendar reminder ahead of the next settlement. This catches a payout mismatch before it goes unnoticed for a full cycle.

  • Payout mismatches get flagged the same cycle they happen
  • Finance team gets a reconciled summary without a manual spreadsheet
  • The next settlement date is never missed

Built for noon marketplace sellers · ecommerce finance teams · Middle East online retailers · marketplace seller ops

Step by step

What does WebRun do on every run?

The exact actions WebRun takes, in order - in plain language, so you can adjust anything.

  1. WebRun signs in and gets to work

    Opens noon.com in a real browser with your saved login - no setup, no API keys.

  2. 1
    Noon - check the settlement report
    • Open noon Partner Center and go to the Payments section
    • Read the latest settlement report and its total payout figure
    • Capture the order count and total sales value the settlement is based on

    Done when The latest settlement's payout figure and underlying order total are captured.

  3. 2
    Microsoft Teams - post the reconciliation summary
    microsoft.com
    WebRun in Microsoft Teams: post the reconciliation summary
    WebRun opens Microsoft Teams to post the reconciliation summary.
    • Post the settlement summary to the finance Teams channel
    • Compare the payout figure against the expected sales total for the period
    • Flag the gap in plain terms if the two figures do not match within a small margin

    Done when The finance team has the settlement summary and any mismatch flagged in Teams.

  4. 3
    Google Calendar - schedule the next review
    calendar.google.com
    WebRun in Google Calendar: schedule the next review
    WebRun opens Google Calendar to schedule the next review.
    • Create a calendar reminder ahead of the next expected settlement date
    • Title it with the seller account and settlement cycle
    • Skip creating a duplicate if a reminder is already scheduled

    Done when A reminder is on the calendar ahead of the next settlement cycle.

Run settings

How is each run configured?

Starting pageWhere Chrome opens at the start of each run
noon.com
ScheduleRuns automatically on this cadence
Every other Monday at 9:00 AM
DeliveryHow each run's result reaches you
Payout reconciliation · Teams
OutputWhat each run produces - A settlement reconciliation comparing payout against expected sales, with mismatches flagged.
Text
Setup & safety

Secure by default

Connect once, stays signed in

WebRun signs in once and keeps each session in a persistent environment, so every run picks up right where it left off.

Your credentials stay in your own private environment - WebRun never stores your passwords.
Strict Lockdown

Every action is checked against this policy before it runs.

Domains ALLOWLIST
Typed input ALLOW
Shell command BLOCK
File uploads BLOCK
Runs in a contained environment More on policies
Good to know

Questions, answered

Will it dispute a settlement with noon automatically?

No. WebRun only compares the numbers and flags a mismatch for your finance team. Raising a dispute with noon support stays a human step.

What counts as a mismatch?

Any gap between the payout figure and the expected sales total for the period beyond a small margin for fees and adjustments gets flagged rather than assumed to be an error.

How does it know the next settlement date?

It schedules the reminder based on the seller account's settlement cycle as shown in Partner Center, so the cadence matches the account's real payout schedule.

Put this on autopilot.

Turn it on in minutes - or have our team set it up for you.