Eigenn

Finance workspace for E-Commerce & Retail

Run channel finance without rebuilding the picture

For e-commerce and retail teams with multiple channels, payment paths, and customer balances, Eigenn turns the scattered finance stack into one operating view.

See your runway in 60 secondsBook a Demo
Live

connected payment and bank signals

Shared

customer and receivables context

Built in

stress tests for delayed cash

The Problem

Channel finance gets blurry fast

Multiple channels create multiple versions of the truth unless the finance view is tied back to records.

Split

payment and payout context split by channel

Slow

cash decisions delayed by exports

Loose

customer finance questions without a home

How It Works

Go from financial fog to a shared weekly operating rhythm

Eigenn connects the systems you already use, turns records into shared context, and gives the weekly cash ritual a place to happen.

01

Connect the live record

Sync accounting, banking, payments, invoices, customers, and inbox data so the operating view stays current.

Liveconnected finance stack
Fewermanual exports required
02

Stress-test the decision

Model hiring, revenue, expense, collection, and cash scenarios against the same records the team reviews.

“The founder stopped asking for another spreadsheet because the scenario and the transaction context were in the same place.”

Fractional CFO, Seed-stage portfolio

03

Run the week from the workspace

Run the cash review, variance walk, and follow-up work with comments, docs, and owners attached to records.

Capabilities

Finance operations for channel-heavy teams

Channel-heavy teams need customer, payment, inventory-adjacent, and receivables signals to roll into the same cash view.

Live channel finance view

See bank, Stripe, invoices, customers, and payment movement together instead of switching by channel.

Cash stress tests

Stress-test delayed payouts, late wholesale balances, and channel-specific revenue shocks.

Record-based decisions

Keep the question, owner, comment, and decision attached to the customer or transaction record.

In Practice

Built for multi-channel finance work

Operators need the live cash view and the customer context in the same place.

“The useful change was seeing payout delays, customer balances, and the scenario impact together.”

Operations lead

Retail operations team

“We stopped rebuilding channel cash in a spreadsheet before every review.”

Finance manager

Wholesale finance team

Get Started

Bring channel finance into the operating workspace

Keep marketplace, wholesale, and retail finance work connected to the broader cash and customer picture.

See your runway in 60 secondsBook a Demo

Start with the live command center, then add scenarios and record comments as the team adopts the workflow.

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