a clearly bounded operating window
After the Amazon alert,
the next steps do not run themselves.
For 30 days, CheckPoint360 handles the work between the alert and your final click: triage, completeness checks, preparation, approvals and follow-up in one action log. Your team keeps the source information, sensitive decisions and every Amazon submission.
maximum during the cycle
complete cases, including 2 complex cases
on Amazon.fr per cycle
You are not paying to see the alert.
You are paying to keep the next steps moving.
An alert identifies an issue. On its own, it does not turn scattered information into a complete, approved, followed and transferable case. CheckPoint360 reserves that operating continuity for 30 days, without replacing your team or deploying another tool.
Map the queue
Each item receives an eligibility status, blocker, expected owner and next action. The operating baseline becomes visible from J1.
Produce an action record
Amazon issue, completeness, missing inputs, blocker, prepared draft, required approval, owner and next action are kept in one standard format.
Measure and hand over
Open cases are returned with their next action. The report compares the initial and final queue through observable volumes and statuses.
€1,800 buys bounded execution capacity, not a software subscription:a complete entry visible before 12:00 is triaged that business day; when eligible, its action record is prepared by the next business day unless a dependency is logged.
Amazon.fr
Transition
A bounded operating capacity for adult-sector brands, sellers and distributors that directly control their Amazon.fr Seller Central account. The cycle covers control, triage, factual preparation, documentation and follow-up, followed by a closing report at J31.
events considered during the operating window
complete cases, including up to 2 complex situations
Amazon.fr entity, with an operating register and J31 report
Included
- Written scope qualification before any commitment
- One control of the queue per French business day, Monday to Friday
- Initial queue map on the first business day of the cycle
- Complete entry visible before 12:00: triaged that business day
- Eligible case: action record prepared by the next business day unless a dependency is logged
- Draft submissions, Client approvals and Client-performed Amazon submissions
- Written follow-up of Amazon responses, prepared reminders and retests
- Actions, evidence, decisions and dependencies recorded until closing
- J15 control point, J30 handover and J31 before-and-after comparison
Excluded or not guaranteed
- No guarantee of an Amazon decision, reinstatement or timing
- No autonomous Amazon submission by CheckPoint360
- No financial, tax, payment or general administrator access
- No full entity suspension, KYC, funds, IP dispute or product-safety assessment
- No marketplace strategy, advertising, pricing, stock, logistics or customer service
- No 24/7 emergency coverage, permanent chat or recurring meetings
- Unused capacity after J1 is not refunded, carried over or extended
Written. Bounded.
Traceable.
Each stage leaves a clear record and an identified owner.
Qualify & activate
Required Amazon roles, minimal access, Client ownership, inputs, signature and payment are checked before J1 is confirmed in writing.
Control & prepare
The queue is mapped on the first business day. Complete entries received before 12:00 are triaged that day and eligible cases receive an action record by the next business day unless a dependency is logged.
Follow & close
The mid-cycle control surfaces blockers. At J30, open cases are handed back with their status, next action and Client owner.
Decide
The report compares the initial and final queue: incomplete items, prepared, approved, closed, open or blocked cases, owners and next actions.
Minimum access.
Maximum traceability.
CheckPoint360 does not need your password, financial access or a general administrator role. The Client retains sensitive decisions and the final click for every Amazon submission.
Least privilege
Only the Amazon permissions required for the agreed actions are used.
MFA required
Partner access and sensitive accounts used during the cycle are protected before J1.
Client-controlled space
Operational documents remain in an environment administered by the Client. No secrets belong in the commercial register.
Clean exit
Access is removed at J30 and open items are handed back through the agreed closing process.
A verifiable identity.
A documented method.
CheckPoint360 is the trading name used by Jérémie Gavrilovic, a French sole trader registered under SIREN 992 730 846. The service, deliverables, boundaries, security controls and an illustrative operating walkthrough are published on a dedicated page.
Review the company and evidenceBefore we
start.
The essential points that must be clear before an operating cycle.
01Does CheckPoint360 guarantee an Amazon decision?+
No. Amazon remains the sole decision-maker. CheckPoint360 provides a best-efforts, traceable operating service within the agreed scope, with no guarantee of reinstatement, Amazon timing, legal compliance or commercial outcome.
02Are recurring meetings required?+
No. Qualification, activation, approvals and reporting are handled in writing. A short, one-off supplier verification may be considered when a procurement process genuinely requires it, without recurring meetings or a permanent communication channel.
03When do the 30 days start?+
The cycle starts on J1, once the order is signed, payment is received, the required Amazon roles are approved, and the necessary access, inputs and Client owner are complete and tested.
04What access or documents are required?+
No access, screenshot or document is requested before signature and payment. After payment, only minimal Amazon partner permissions are used. CheckPoint360 never asks for a password, financial access or a general administrator role.
05What happens when a capacity limit is reached?+
The new item is placed on hold, exchanged for another priority, or considered in a separate written cycle. Additional work is never accepted automatically.
06What happens to open cases at J30?+
No new action starts after J30. Each open case is handed back with its Case ID, last action, status, blocker, next action and Client owner. Access is removed after the closing export. Any continuation requires a separate written order.
07What does the €1,800 produce in practice?+
An initial queue map, a standard action record for each eligible case, a timestamped operating log, prepared drafts and approval requests, written follow-up of Amazon responses, a detailed J30 handover and a before-and-after comparison at J31. The fee buys this bounded execution capacity, not an Amazon outcome.
A recurring problem
deserves a precise scope.
Check the fit of your queue through a few written points. No access, screenshot or document is requested at this stage.
contact@checkpoint-360.fr