{"id":2199,"date":"2026-05-03T10:00:00","date_gmt":"2026-05-03T10:00:00","guid":{"rendered":"https:\/\/aaxonix.com\/resources\/?p=2199"},"modified":"2026-04-11T18:44:57","modified_gmt":"2026-04-11T18:44:57","slug":"zoho-books-amazon-seller-central-integration","status":"publish","type":"post","link":"https:\/\/aaxonix.com\/resources\/zoho-books-amazon-seller-central-integration\/","title":{"rendered":"Zoho Books and Amazon Seller Central Integration: Reconcile Marketplace Revenue"},"content":{"rendered":"<style>\n.aax-post{font-family:'Poppins',sans-serif;color:#1a2332;max-width:820px;margin:0 auto;line-height:1.75}\n.aax-post h2{font-size:1.55rem;font-weight:600;margin:2.5rem 0 .9rem;color:#0a1628}\n.aax-post h3{font-size:1.15rem;font-weight:600;margin:1.8rem 0 .6rem;color:#1a2332}\n.aax-post p{margin:0 0 1.1rem}\n.aax-post ul,.aax-post ol{margin:0 0 1.1rem;padding-left:1.5rem}\n.aax-post li{margin-bottom:.45rem}\n.aax-post table{width:100%;border-collapse:collapse;margin:1.5rem 0;font-size:.93rem}\n.aax-post th{background:#0a1628;color:#fff;padding:.6rem 1rem;text-align:left}\n.aax-post td{padding:.55rem 1rem;border-bottom:1px solid #e8edf4}\n.aax-post tr:nth-child(even) td{background:#f5f7fb}\n.aax-post .faq-section{background:#f5f7fb;border-radius:10px;padding:1.8rem 2rem;margin:2.5rem 0}\n.aax-post .faq-item{margin-bottom:1.2rem;border-bottom:1px solid #e0e6ef;padding-bottom:1.2rem}\n.aax-post .faq-item:last-child{border-bottom:none;margin-bottom:0;padding-bottom:0}\n.aax-post .faq-question{font-weight:600;color:#0a1628;margin-bottom:.5rem}\n.aax-post .faq-answer{color:#3a4a5c;line-height:1.65}\n.aax-post .aax-cta{background:linear-gradient(135deg,#0a1628 0%,#1a3a5c 100%);border-radius:12px;padding:1.8rem 2rem;margin:2.5rem 0;text-align:center}\n.aax-post .aax-cta p{color:#e8edf4;margin:0 0 1.2rem;font-size:1.05rem}\n.aax-post .aax-cta a{display:inline-block;background:#fff;color:#0a1628;font-weight:600;padding:.65rem 1.6rem;border-radius:6px;text-decoration:none;font-size:.95rem}\n<\/style>\n<div class=\"sp-toc-wrap\"><nav class=\"sp-blog-toc\" id=\"spBlogToc\" style=\"display:none\"><h4><svg xmlns=\"http:\/\/www.w3.org\/2000\/svg\" width=\"16\" height=\"16\" viewBox=\"0 0 24 24\" fill=\"none\" stroke=\"currentColor\" stroke-width=\"2\" stroke-linecap=\"round\" stroke-linejoin=\"round\"><line x1=\"8\" y1=\"6\" x2=\"21\" y2=\"6\"\/><line x1=\"8\" y1=\"12\" x2=\"21\" y2=\"12\"\/><line x1=\"8\" y1=\"18\" x2=\"21\" y2=\"18\"\/><line x1=\"3\" y1=\"6\" x2=\"3.01\" y2=\"6\"\/><line x1=\"3\" y1=\"12\" x2=\"3.01\" y2=\"12\"\/><line x1=\"3\" y1=\"18\" x2=\"3.01\" y2=\"18\"\/><\/svg> On this page<\/h4><ol class=\"sp-toc-list\" id=\"spTocList\"><\/ol><\/nav><\/div>\n<div class=\"aax-post\">\n\n<p>Amazon sellers running their accounting on Zoho Books face a persistent challenge: settlement reports from Seller Central contain dozens of transaction types, fee categories, and adjustment lines that need accurate mapping before the numbers mean anything useful. A Zoho Books and Amazon Seller Central integration bridges this gap by automating the flow of settlement data into your general ledger, giving you clean revenue figures, categorized expenses, and bank-ready reconciliation every pay cycle. This guide covers the complete integration architecture, from connector setup through FBA fee mapping, multi-marketplace handling, Indian TCS\/TDS compliance, and a monthly reconciliation workflow that keeps your books audit-ready.<\/p>\n\n<h2>How Amazon Settlement Reports Work<\/h2>\n\n<p>Before configuring any integration, you need to understand what Amazon actually sends in a settlement report. Amazon settles seller accounts every 14 days (though the cycle can vary). Each settlement report, downloadable from Payments > All Statements in Seller Central, breaks down into four primary sections:<\/p>\n\n<ul>\n<li><strong>Sales:<\/strong> Product charges (item price multiplied by quantity), shipping collected from customers, tax collected, promotional rebates, and miscellaneous credits like gift wrap fees.<\/li>\n<li><strong>Refunds:<\/strong> Reversed product charges, refunded shipping, returned promotional credits, and any tax refunds issued.<\/li>\n<li><strong>Expenses:<\/strong> Referral fees (Amazon&#8217;s commission, typically 6-45% depending on category), FBA fulfillment fees, storage fees, advertising spend deductions, coupon redemption fees, and account-level reserves.<\/li>\n<li><strong>Transfer amount:<\/strong> The net payout deposited to your bank account after all the above netting.<\/li>\n<\/ul>\n\n<p>Each line in the flat file contains a transaction type (Order, Refund, Adjustment, ServiceFee), a price type (Principal, Shipping, Tax), and item-related fee types (Commission, FBAPerUnitFulfillmentFee, FBAPerOrderFulfillmentFee). Your integration needs to parse these fields and route each amount to the correct Zoho Books account.<\/p>\n\n<h2>Zoho Books and Amazon Seller Central Integration Methods<\/h2>\n\n<p>There is no native, one-click connector between Zoho Books and Amazon Seller Central. You have three practical paths to connect them, each with different trade-offs on automation depth, cost, and maintenance effort.<\/p>\n\n<h3>Option 1: Zoho Inventory as a Bridge<\/h3>\n\n<p><a href=\"https:\/\/aaxonix.com\/products\/zoho-inventory\/\" class=\"sp-content-link\">Zoho Inventory<\/a> connects natively to Amazon Seller Central and syncs orders, inventory levels, and shipment data. Since Zoho Inventory also integrates natively with Zoho Books, order data flows through Inventory into Books as invoices and payments. This is the most Zoho-native path and works well if you already use Zoho Inventory for stock management. The limitation: Zoho Inventory syncs order-level data, not the detailed fee breakdown from settlement reports. You still need a separate process for FBA fee reconciliation.<\/p>\n\n<h3>Option 2: iPaaS Connectors (Zapier, Make, Pabbly)<\/h3>\n\n<p>Platforms like Zapier, Make (formerly Integromat), and Pabbly Connect offer Amazon Seller Central triggers that fire on new orders, refunds, or settlements. These triggers push data into Zoho Books via API actions (create invoice, create expense, create journal entry). <a href=\"https:\/\/aaxonix.com\/resources\/zoho-flow-automation-india\/\" class=\"sp-content-link\">Zoho Flow<\/a> can also participate in this chain for Zoho-native automation. This approach gives you granular control over field mapping but requires building and maintaining individual workflows for each transaction type.<\/p>\n\n<h3>Option 3: Dedicated E-Commerce Accounting Connectors<\/h3>\n\n<p>Tools like Bookkeep and Link My Books specialize in parsing Amazon settlement reports and posting accrual-based journal entries to accounting software. Bookkeep supports Zoho Books directly, posting summarized journal entries for each settlement that break out gross sales, fees by category, refunds, and the net deposit. This is the lowest-maintenance option for sellers processing high transaction volumes.<\/p>\n\n<table>\n<tr><th>Method<\/th><th>Fee Detail<\/th><th>Setup Effort<\/th><th>Ongoing Maintenance<\/th><th>Cost<\/th><\/tr>\n<tr><td>Zoho Inventory bridge<\/td><td>Order-level only<\/td><td>Low<\/td><td>Low<\/td><td>Included in Zoho suite<\/td><\/tr>\n<tr><td>iPaaS (Zapier\/Make)<\/td><td>Configurable per workflow<\/td><td>Medium<\/td><td>Medium<\/td><td>$20-50\/month<\/td><\/tr>\n<tr><td>Bookkeep\/Link My Books<\/td><td>Full settlement breakdown<\/td><td>Low<\/td><td>Low<\/td><td>$20-50\/month<\/td><\/tr>\n<\/table>\n\n<h2>Setting Up Your Zoho Books Chart of Accounts for Amazon<\/h2>\n\n<p>Before any data flows in, configure your Chart of Accounts in Zoho Books (Accountant > Chart of Accounts) to handle Amazon&#8217;s fee structure cleanly. A well-structured chart prevents the common mistake of lumping all Amazon fees into a single &#8220;Amazon Expenses&#8221; line, which makes profitability analysis impossible.<\/p>\n\n<h3>Revenue Accounts<\/h3>\n<ul>\n<li><strong>Amazon Product Sales<\/strong> (Income): Gross product revenue before any fees or refunds.<\/li>\n<li><strong>Amazon Shipping Revenue<\/strong> (Income): Shipping charges collected from customers, if you charge separately.<\/li>\n<\/ul>\n\n<h3>Expense Accounts<\/h3>\n<ul>\n<li><strong>Amazon Referral Fees<\/strong> (Expense): Commission Amazon charges per sale, varying by product category.<\/li>\n<li><strong>FBA Fulfillment Fees<\/strong> (Expense): Per-unit pick, pack, and ship charges for FBA orders.<\/li>\n<li><strong>FBA Storage Fees<\/strong> (Expense): Monthly and long-term inventory storage charges.<\/li>\n<li><strong>Amazon Advertising Fees<\/strong> (Expense): PPC and sponsored product spend deducted from settlements.<\/li>\n<li><strong>Amazon Other Fees<\/strong> (Expense): Coupon redemptions, early reviewer program fees, and miscellaneous charges.<\/li>\n<\/ul>\n\n<h3>Clearing and Liability Accounts<\/h3>\n<ul>\n<li><strong>Amazon Receivable<\/strong> (Other Current Asset \/ Payment Clearing): Tracks the balance Amazon owes you at any point. Each sale credits this account; each fee debits it; the bank deposit clears it.<\/li>\n<li><strong>Amazon Refunds Payable<\/strong> (Other Current Liability): Tracks pending refund obligations if you record revenue on an accrual basis.<\/li>\n<\/ul>\n\n<p>This account structure lets you run a General Ledger report on Amazon Receivable at any time to see the exact balance Amazon holds. When the settlement deposit hits your bank, matching it against this clearing account should produce zero variance.<\/p>\n\n<h2>FBA Fee Mapping: From Settlement Lines to Zoho Books Accounts<\/h2>\n\n<p>The core of any Zoho Books and Amazon Seller Central integration is the fee mapping table. Every transaction type and fee type in the settlement report must route to a specific account. Here is the mapping that covers the most common settlement line items:<\/p>\n\n<table>\n<tr><th>Settlement Field<\/th><th>Fee\/Price Type<\/th><th>Zoho Books Account<\/th><th>Debit\/Credit<\/th><\/tr>\n<tr><td>Order<\/td><td>Principal<\/td><td>Amazon Product Sales<\/td><td>Credit (Revenue)<\/td><\/tr>\n<tr><td>Order<\/td><td>Shipping<\/td><td>Amazon Shipping Revenue<\/td><td>Credit (Revenue)<\/td><\/tr>\n<tr><td>Order<\/td><td>Commission<\/td><td>Amazon Referral Fees<\/td><td>Debit (Expense)<\/td><\/tr>\n<tr><td>Order<\/td><td>FBAPerUnitFulfillmentFee<\/td><td>FBA Fulfillment Fees<\/td><td>Debit (Expense)<\/td><\/tr>\n<tr><td>Refund<\/td><td>Principal<\/td><td>Amazon Product Sales<\/td><td>Debit (Contra-Revenue)<\/td><\/tr>\n<tr><td>Refund<\/td><td>RefundCommission<\/td><td>Amazon Referral Fees<\/td><td>Credit (Fee reversal)<\/td><\/tr>\n<tr><td>ServiceFee<\/td><td>Subscription<\/td><td>Amazon Other Fees<\/td><td>Debit (Expense)<\/td><\/tr>\n<tr><td>Adjustment<\/td><td>FBAInventoryReimbursement<\/td><td>FBA Fulfillment Fees<\/td><td>Credit (Reversal)<\/td><\/tr>\n<\/table>\n\n<p>When configuring your connector (whether Bookkeep, Make, or a custom script), map each combination of transaction type and fee type to the corresponding Zoho Books account. Test with one complete settlement cycle before enabling automation on all subsequent cycles.<\/p>\n\n<h2>Multi-Marketplace Handling in Zoho Books<\/h2>\n\n<p>Sellers operating across Amazon US, UK, Germany, India, and other marketplaces need a structure that keeps marketplace-level profitability visible without creating separate Zoho Books organizations for each region.<\/p>\n\n<h3>Enable Multi-Currency<\/h3>\n<p>In Zoho Books, go to Settings > Currencies and add every currency your marketplaces operate in (USD, GBP, EUR, INR, CAD). Set exchange rate feeds to auto-update. Every transaction imported from a non-base-currency marketplace will convert at the rate on the transaction date.<\/p>\n\n<h3>Separate Clearing Accounts per Marketplace<\/h3>\n<p>Create distinct payment clearing accounts: Amazon US Receivable, Amazon UK Receivable, Amazon DE Receivable, and so on. Each marketplace settlement deposits into its own clearing account. This lets you run per-marketplace receivable reports and isolate currency conversion variances.<\/p>\n\n<h3>Use Tracking Categories or Projects<\/h3>\n<p>Tag every Amazon transaction with a tracking category (e.g., &#8220;Marketplace: US&#8221;, &#8220;Marketplace: UK&#8221;) or assign it to a Zoho Books project per marketplace. This enables you to generate P&#038;L reports filtered by marketplace, revealing which regions are profitable after all fees and currency effects.<\/p>\n\n<p>For sellers using <a href=\"https:\/\/aaxonix.com\/resources\/zoho-inventory-india-ecommerce\/\" class=\"sp-content-link\">Zoho Inventory for e-commerce operations<\/a>, the inventory sync handles stock levels across marketplaces while Zoho Books handles the financial side. This separation keeps inventory management and accounting concerns properly isolated.<\/p>\n\n<h2>TCS and TDS Compliance for Indian Amazon Sellers<\/h2>\n\n<p>Indian sellers on Amazon face additional tax complexity that your Zoho Books integration must handle correctly. Amazon India deducts Tax Collected at Source (TCS) at 1% on net taxable sales value under Section 52 of the CGST Act, and Tax Deducted at Source (TDS) under Section 194O of the Income Tax Act at 1% on gross sales exceeding INR 5 lakh annually.<\/p>\n\n<h3>Recording TCS in Zoho Books<\/h3>\n<p>Create an asset account called &#8220;TCS Receivable&#8221; under Other Current Assets. When importing Amazon India settlements, the TCS amount deducted should credit Amazon India Receivable (reducing what Amazon owes you) and debit TCS Receivable. This receivable offsets against your GST liability when filing returns. <a href=\"https:\/\/aaxonix.com\/resources\/zoho-books-complete-setup-india\/\" class=\"sp-content-link\">Zoho Books&#8217; India-specific setup<\/a> already includes GST modules that accommodate TCS tracking.<\/p>\n\n<h3>Recording TDS in Zoho Books<\/h3>\n<p>Similarly, create &#8220;TDS Receivable (194O)&#8221; under Other Current Assets. Map the TDS deduction from settlements to this account. Reconcile TDS certificates issued by Amazon quarterly against Form 26AS. The TDS receivable reduces your advance tax liability during ITR filing.<\/p>\n\n<h3>GST on Amazon Fees<\/h3>\n<p>Amazon charges GST on its referral fees and FBA fees (these are services supplied to you). Record the GST component as Input Tax Credit (ITC) in Zoho Books. Ensure your Amazon fee expense accounts are configured with the correct GST rate (18% for most marketplace services) so that ITC flows correctly into your GSTR-3B filing.<\/p>\n\n<h2>Monthly Reconciliation Workflow<\/h2>\n\n<p>A disciplined monthly reconciliation catches discrepancies before they compound. Here is a step-by-step workflow that takes 2-3 hours per marketplace per month for a mid-volume seller.<\/p>\n\n<h3>Step 1: Verify Settlement Imports (Day 1-2 After Month End)<\/h3>\n<p>Confirm that all settlement reports for the month have been imported into Zoho Books. Amazon typically issues 2 settlements per month. Check that transaction counts match between Seller Central and your Zoho Books journal entries. Flag any missing settlements immediately.<\/p>\n\n<h3>Step 2: Bank Feed Matching<\/h3>\n<p>In Zoho Books, navigate to Banking > Bank Feeds and match each Amazon deposit to the corresponding settlement clearing entry. Every settlement should match exactly. If the bank deposit differs from the settlement total, investigate holds, reserves, or currency conversion differences. <a href=\"https:\/\/aaxonix.com\/resources\/zoho-books-bank-reconciliation-india\/\" class=\"sp-content-link\">Zoho Books&#8217; bank reconciliation tools<\/a> make this matching process efficient with auto-match suggestions.<\/p>\n\n<h3>Step 3: Fee Variance Analysis<\/h3>\n<p>Run a General Ledger report for each Amazon fee account and compare totals against the Amazon Fee Preview report in Seller Central. Variances above 1% warrant investigation. Common causes include: retroactive fee adjustments, FBA inventory reimbursements posted in the current period for prior-period claims, and advertising spend that spans settlement boundaries.<\/p>\n\n<h3>Step 4: Refund Reconciliation<\/h3>\n<p>Compare refund totals in Zoho Books against the Returns Report in Seller Central. Verify that refund commission reversals (where Amazon returns its referral fee on a refunded order) have been recorded. Missing reversals understate your net revenue.<\/p>\n\n<h3>Step 5: Clearing Account Balance Check<\/h3>\n<p>After all settlements and bank deposits are matched, the Amazon Receivable clearing account should show a balance equal to only the unsettled transactions (orders from the current, incomplete settlement period). A large unexplained balance signals missing entries or duplicate imports.<\/p>\n\n<h3>Step 6: Generate Reports<\/h3>\n<p>Pull the following from Zoho Books: Profit &#038; Loss filtered by Amazon tracking category (per marketplace if applicable), Expense report by vendor filtered to Amazon fee accounts, and Sales by Item report for revenue by product category. These reports give you gross margin by marketplace and product line, cost per unit fulfilled, advertising cost of sale (ACOS) when combined with Amazon ad reports, and net profitability after all platform fees.<\/p>\n\n<h2>Reporting and Profitability Analysis<\/h2>\n\n<p>Once your Zoho Books and Amazon Seller Central integration is running cleanly, the accounting data powers meaningful business decisions. The most actionable reports combine Zoho Books financial data with Amazon operational metrics.<\/p>\n\n<p>Calculate true unit economics by dividing total FBA fulfillment fees by units shipped (available from Zoho Books expense reports and Amazon business reports). Compare this against your product margins to identify SKUs where fulfillment costs erode profitability. Products with fulfillment fees exceeding 15-20% of the selling price often need repricing, resizing, or a shift to merchant-fulfilled shipping.<\/p>\n\n<p>For sellers using <a href=\"https:\/\/aaxonix.com\/resources\/zoho-books-stripe-integration\/\" class=\"sp-content-link\">Zoho Books with other payment integrations<\/a> (Stripe for direct website sales, PayPal for international orders), having Amazon data in the same Zoho Books organization lets you compare channel-level profitability on a consistent accounting basis. This multi-channel view reveals whether Amazon&#8217;s volume justifies its fee structure compared to direct sales channels.<\/p>\n\n<p>Track your effective Amazon fee rate monthly: total fees divided by gross sales. For most categories, this runs 30-40% of gross revenue. If the rate trends upward without a change in product mix, investigate whether new fee types or rate increases have taken effect.<\/p>\n\n<p>For a full overview of all available options, explore our <a href=\"https:\/\/aaxonix.com\/resources\/zoho-integrations-complete-guide\/\" class=\"sp-content-link\">complete guide to Zoho integrations<\/a>.<\/p>\n<div class=\"faq-section\">\n<h2>Frequently Asked Questions<\/h2>\n<div class=\"faq-item\">\n<p class=\"faq-question\">Does Zoho Books have a native integration with Amazon Seller Central?<\/p>\n<p class=\"faq-answer\">Zoho Books does not offer a direct native connector for Amazon Seller Central. You can bridge the two using Zoho Inventory (which connects natively to Amazon), third-party iPaaS tools like Zapier or Make, or dedicated e-commerce accounting connectors like Bookkeep that post journal entries into Zoho Books.<\/p>\n<\/div>\n<div class=\"faq-item\">\n<p class=\"faq-question\">How do I map Amazon FBA fees to expense accounts in Zoho Books?<\/p>\n<p class=\"faq-answer\">Create separate expense accounts in your Zoho Books Chart of Accounts for each major fee category: Amazon Referral Fees, FBA Fulfillment Fees, FBA Storage Fees, and Advertising Fees. When importing settlement data, map each fee line to the corresponding account so your P&#038;L reflects actual cost structure.<\/p>\n<\/div>\n<div class=\"faq-item\">\n<p class=\"faq-question\">Can I reconcile multiple Amazon marketplaces in a single Zoho Books organization?<\/p>\n<p class=\"faq-answer\">Yes. Enable multi-currency in Zoho Books and create a separate payment clearing account for each marketplace (e.g., Amazon US Receivable, Amazon UK Receivable). Each settlement deposit is matched against its respective clearing account, keeping marketplace-level P&#038;L intact.<\/p>\n<\/div>\n<div class=\"faq-item\">\n<p class=\"faq-question\">How often should I reconcile Amazon settlements in Zoho Books?<\/p>\n<p class=\"faq-answer\">Reconcile at every settlement cycle (typically every 14 days). At minimum, perform a full reconciliation monthly, matching total Amazon payouts to your bank feed and verifying that net revenue, fees, and refunds balance to zero variance.<\/p>\n<\/div>\n<div class=\"faq-item\">\n<p class=\"faq-question\">What about TCS and TDS for Amazon sellers in India?<\/p>\n<p class=\"faq-answer\">Amazon India collects TCS at 1% on net taxable sales and deducts TDS on certain payments. In Zoho Books, record TCS as a receivable (asset account) that offsets against your income tax liability. Track TDS certificates from Amazon and reconcile them quarterly against Form 26AS to claim credit during ITR filing.<\/p>\n<\/div>\n<\/div>\n\n<div class=\"aax-cta\">\n<p>Aaxonix configures Zoho Books for Amazon sellers, building the complete Chart of Accounts, settlement import automation, and multi-marketplace reconciliation workflows that eliminate manual data entry. Book a free consultation to get a no-obligation review of your current Amazon accounting setup.<\/p>\n<a href=\"https:\/\/aaxonix.com\/contact\/\">Book a free consultation<\/a>\n<\/div>\n\n<p>Getting your Zoho Books and Amazon Seller Central integration right from the start saves hours of manual reconciliation every month and gives you the financial visibility to make confident pricing, inventory, and marketplace expansion decisions. Start with the Chart of Accounts structure, choose the connector that matches your transaction volume, and commit to the monthly reconciliation cadence. The payoff is clean books, accurate margins, and tax compliance without the spreadsheet overhead.<\/p>\n\n<\/div>","protected":false},"excerpt":{"rendered":"<p>Connect Zoho Books with Amazon Seller Central to automate settlement reconciliation, map FBA fees, and track multi-marketplace revenue accurately.<\/p>\n","protected":false},"author":1,"featured_media":2198,"comment_status":"closed","ping_status":"open","sticky":false,"template":"","format":"standard","meta":{"footnotes":""},"categories":[511],"tags":[551,552,554,555,553,13,504],"class_list":["post-2199","post","type-post","status-publish","format-standard","has-post-thumbnail","hentry","category-zoho","tag-amazon-seller-central","tag-e-commerce-accounting","tag-fba-fee-mapping","tag-marketplace-integration","tag-settlement-reconciliation","tag-zoho-books","tag-zoho-integration"],"_links":{"self":[{"href":"https:\/\/aaxonix.com\/resources\/wp-json\/wp\/v2\/posts\/2199","targetHints":{"allow":["GET"]}}],"collection":[{"href":"https:\/\/aaxonix.com\/resources\/wp-json\/wp\/v2\/posts"}],"about":[{"href":"https:\/\/aaxonix.com\/resources\/wp-json\/wp\/v2\/types\/post"}],"author":[{"embeddable":true,"href":"https:\/\/aaxonix.com\/resources\/wp-json\/wp\/v2\/users\/1"}],"replies":[{"embeddable":true,"href":"https:\/\/aaxonix.com\/resources\/wp-json\/wp\/v2\/comments?post=2199"}],"version-history":[{"count":2,"href":"https:\/\/aaxonix.com\/resources\/wp-json\/wp\/v2\/posts\/2199\/revisions"}],"predecessor-version":[{"id":2660,"href":"https:\/\/aaxonix.com\/resources\/wp-json\/wp\/v2\/posts\/2199\/revisions\/2660"}],"wp:featuredmedia":[{"embeddable":true,"href":"https:\/\/aaxonix.com\/resources\/wp-json\/wp\/v2\/media\/2198"}],"wp:attachment":[{"href":"https:\/\/aaxonix.com\/resources\/wp-json\/wp\/v2\/media?parent=2199"}],"wp:term":[{"taxonomy":"category","embeddable":true,"href":"https:\/\/aaxonix.com\/resources\/wp-json\/wp\/v2\/categories?post=2199"},{"taxonomy":"post_tag","embeddable":true,"href":"https:\/\/aaxonix.com\/resources\/wp-json\/wp\/v2\/tags?post=2199"}],"curies":[{"name":"wp","href":"https:\/\/api.w.org\/{rel}","templated":true}]}}