Intake every card once
Scan or import singles into SpellBook Finance with condition, finish, bin, cost basis, and sellable status attached to the physical copy.
Open the inventory guideMTG seller OS
SpellBook Finance connects intake, channel listing, pricing, fulfillment, reconciliation, and P&L so TCGplayer, eBay, and Shopify work from the same stock record.
Operating loop
The page below points into existing SpellBook Finance seller surfaces. It is the map, not a duplicate version of each tool.
Scan or import singles into SpellBook Finance with condition, finish, bin, cost basis, and sellable status attached to the physical copy.
Open the inventory guideSend clean stock toward a TCGplayer Update CSV, an eBay publish preview, or Shopify channel planning without losing the inventory truth underneath.
Compare seller pathsUse cross-market pricing, repricing rules, floors, and seller presets so listings move from the same data instead of a tab per marketplace.
Review pricingTreat orders as operational work: find cards, pull by bin, produce buyer inserts, track fulfillment, and keep each sold copy accounted for.
Start after signupUse channel review to find duplicate, orphaned, unmanaged, and stale-price rows before marketplace state drifts away from stock on hand.
Preview eBay toolsTrack cost basis, fees, proceeds, and P&L so seller decisions stay tied to margin rather than gross sales volume.
Open P&L after signupChannels
A first listing path for sellers who need sellable stock, prices, and a TCGplayer export without rebuilding a spreadsheet.
Open pathA channel path for eBay sellers who need duplicate guards, publish previews, active listing review, and reconciliation.
Open pathA signed-in seller path for connecting storefront inventory work to the same stock, pricing, and fulfillment model.
Open pathTool mesh
SpellBook Finance already has focused seller and comparison surfaces. This hub ties them together for sellers deciding what to operate first.
Use channel-aware repricing when active listings need market-aligned updates.
Compare workflowCompare fees, shipping, and net proceeds before choosing a listing channel.
Compare workflowCompare SpellBook Finance against a dedicated TCGplayer automation workflow.
Compare workflowCompare inventory and seller workflows for stores that need more than POS exports.
Compare workflowCompare repricing and marketplace update workflows for TCGplayer sellers.
Compare workflowSee where SpellBook Finance expands from seller exports into operating-system coverage.
Compare workflowSeller guides
These guides cover the two places seller data usually fractures: cross-listing from marketplace files and scanning cards into a disconnected spreadsheet.
Cross-listing
Use channel state and reconciliation so TCGplayer, eBay, and Shopify stay tied to the same physical inventory.
Read guideScanner intake
Turn SpellBook Capture sessions into bins, SKUs, cost basis, and channel-ready next actions instead of another listing spreadsheet.
Read guideAn MTG seller OS is one operating layer for intake, sellable inventory, channel listing, pricing, fulfillment, reconciliation, and profit tracking. SpellBook Finance keeps those loops tied to the same physical stock records.
No. SpellBook Finance works beside marketplace and storefront channels. It keeps inventory and pricing decisions in one place, then routes sellers into channel-specific workflows such as TCGplayer Update CSVs, eBay publish previews, and Shopify channel planning.
Start with inventory intake. Scan or import cards, confirm condition and bins, then choose the first channel action: TCGplayer export, eBay publish preview, repricing, fulfillment closeout, or channel reconciliation.