Omnek Request free trial

For Daraz sellers

Run your Daraz shop on one set of books

Daraz tells you what it paid you. It does not tell you what you earned. Omnek brings in your orders, keeps one stock, sends it back to Daraz and reads your settlement file — then shows you profit per SKU, after every fee.

  • Orders come in from Daraz on their own, matched to your products
  • Profit per SKU, read from your own settlement file
  • 14-day trial, approved by a person — no card
Example figures, drawn for this page — not a real shop.

Start with one order

Type a price and see what it actually leaves you, fee by fee. Nothing is saved and there is no sign-up.

The order

What the buyer pays for the item.

Leave at 0 if delivery is free to the buyer.

Sets the commission rate. Leave it blank to use a 10% placeholder.

Province sets the VAT charged on Daraz's fees, not on your sale.

Your side

What the unit landed on your shelf for.

Per parcel — box, filler, tape, label.

Enter a selling price to see where it goes.

That was one order, from figures you typed. Omnek does the same for every order you have — from your real settlement file, with nothing typed at all.

Request the 14-day free trial

If this sounds like your week

Most Daraz sellers are not short of orders. They are short of a straight answer about where the money went.

How it works

  1. Connect your Daraz shop

    Once, by signing in on Daraz's own page — Omnek never sees your password. Your products, open orders and payouts come in with it.

  2. Link each listing to a product

    A Daraz listing is linked to the product it really is, once. From then on every order for it takes stock off the right shelf.

  3. Orders arrive by themselves

    Matched to your stock, reserved the moment they land, and sorted into To Pack, To Arrange Shipment and To Handover — the same piles Seller Centre uses.

  4. Drop in the settlement file

    Each week, upload the statement. Omnek reads every line and gives you that week's profit per SKU, with every fee already taken off.

Everything Omnek does for a Daraz seller

Grouped by the part of the job it takes off your hands.

Orders and stock

Orders matched to your products

Each Daraz order arrives already linked to the product it came from, so stock comes off the shelf without anybody typing a SKU.

Stock reserved the moment an order lands

Not when somebody gets round to packing it. A unit waiting for a Daraz parcel is not offered again at your counter.

Stock sent back to Daraz

When a unit sells anywhere else, the quantity Daraz shows is updated from Omnek — less whatever is already reserved for open orders. Switched on shop by shop.

Ship-by deadlines you can see

The deadline on each parcel is Daraz's own, read from Daraz rather than worked out by us, so the order about to go late is the one at the top.

Money and profit

Profit per SKU, from the settlement file

Commission, VAT, payment and item handling, campaign contributions and withheld tax — every line of the statement, taken off the product it belongs to.

Delivered, but never paid

Orders Daraz delivered that no statement has ever paid for. Finding them by hand means reading every settlement file side by side; Omnek lists them.

No profit figure without a cost behind it

A week's profit is not saved while a product sold that week has no cost price. A profit worked out with a missing cost is not an estimate — it is wrong.

Packing counted per parcel

The box, the filler and the tape are charged to the parcel once, so a three-item order does not quietly cost you three boxes.

Parcels and returns

Packing in Seller Centre's own piles

To Pack, To Arrange Shipment, To Handover — named exactly as Seller Centre names them, so nobody is translating between two screens while they pack.

Parcels that are getting old

An age badge turns amber at nine days and red at fourteen, so a parcel stuck somewhere gets chased while it is still worth chasing.

Returns counted when they arrive

One returns desk for every channel. A return is booked when it is back in your hands, and what came back damaged is recorded as damaged.

Cancellations read for what they were

A cancellation after handover is a refusal at the door — the parcel is on its way back to you, not a sale that simply vanished.

The rest of the business

Books that balance

Bank and cash accounts, expenses, and customer and supplier ledgers with running balances. When a settlement is paid, the money lands on the account it actually went to.

Staff with their own logins

Every person gets their own login, and each role is given the pages it needs. The person packing parcels does not have to see your bank balance.

A shop counter, if you have one

Cash, online or credit sales and returns, on the same stock as your online orders. The stock, the ledger and the bank all move together, or none of them do.

Reports and a dashboard

What sold, what earned, what has not moved in months — and a dashboard that opens on what needs doing today rather than on a wall of charts.

Before and after

Without Omnek
With Omnek
The settlement file opened in Excel every week
The settlement file dropped in and read line by line
Profit guessed as sales minus a rough percentage
Profit per SKU, after every fee Daraz actually took
Stock counted by hand and trusted by nobody
One stock every order comes off, with open orders reserved
Daraz selling a unit your counter already sold
The quantity on Daraz updated from the stock you really have
A late parcel noticed when the buyer complains
Ship-by deadlines and parcel age in front of you
Unpaid parcels found by accident, if at all
Delivered-but-unpaid parcels listed for you

Getting started

What you need, and what the first days look like. No part of it asks you to stop selling while you set up.

What you need

  • Your Daraz Seller Centre login — you sign in on Daraz's page, and Omnek never sees the password
  • The cost price of what you sell. A close figure is enough to start; you can correct it later
  • One recent settlement file, so you see a real week straight away

What the first days look like

  1. Day oneConnect the shop. Products and open orders come in, and you link each Daraz listing to the product it is — a one-time job per listing. A new shop is also walked once through the stock Daraz is already holding, so the books start from what is true.
  2. The first weekOrders arrive on their own and sort themselves into the three piles. You pack and hand over as you do now, with the stock and the ledger following.
  3. Every week afterThe settlement file arrives and you drop it in. That week's profit per SKU is the result, and anything delivered but unpaid is listed.

What Omnek does not do

Better said here than discovered after you have signed up.

Questions

Does Omnek connect to my Daraz account?

Yes. You sign in on Daraz's own page to connect the shop — Omnek never sees your password — and your products, orders and payouts come in with it. Nothing gets typed twice.

Does it update my stock on Daraz?

Yes. Omnek keeps one stock and sends the available quantity to Daraz, less whatever is reserved for orders you have not shipped yet. It is switched on shop by shop, and a product can be kept selling on Daraz at a minimum you choose.

Do I have to upload the settlement file myself?

Yes, and that is deliberate. The settlement file is the one document that states what you were actually paid, and uploading it is a decision about a week that has now closed. It takes seconds, and it is the step that turns estimates into books.

Can I run more than one Daraz shop?

Yes. Each shop is connected separately and its orders stay apart — you work on one shop at a time, so two shops' parcels never mix in one pile. More than one marketplace account is part of the Business plan.

I have a shop counter as well. Does that work?

Yes. Counter sales run on the same stock as your online orders — cash, online or credit, with returns — and the ledger, the stock and the bank balance move together or not at all. It is there if you need it and out of the way if you don't.

Can my staff use it without seeing everything?

Yes. Every staff member has their own login, and each role is given the pages it needs. The person packing parcels does not have to see your bank balance or your profit.

Is my shop's data separate from everyone else's?

Each shop's data is scoped to its own account in the database itself, not merely hidden in the interface, and staff logins are scoped again by role. Integration credentials are write-only: once saved, they cannot be read back out of a browser at all.

What happens after the trial?

The trial runs 14 days and needs no card. After that you choose a plan — the plans and what each includes are on the home page. Trial requests are approved by hand, so there is a person on the other end of one.

Read next

Try it on one week of your own orders

The quickest way to find out whether any of this is worth anything to you is to put one real settlement week through it. Request the trial — or ask us anything first; a person answers.

14 days, no card, and every trial request is approved by hand — usually the same day.