Stripe Integration
Balenta reconciles Stripe payouts to your bank, categorizes fees and refunds, and ensures every dollar is correctly recorded in your books.
How Balenta Uses Stripe
Connect Stripe payout reports to your accounting software monthly
Reconcile gross revenue, Stripe fees, refunds, and disputes
Match net payouts to bank deposits accurately
Set up revenue recognition rules for subscription and one-time payments
Flag payout discrepancies and unusual fee patterns
Key Features
- ✓Stripe payout reconciliation
- ✓Fee and refund categorization
- ✓Subscription revenue tracking
- ✓Dispute and chargeback recording
- ✓MRR/ARR support for SaaS
- ✓Multi-currency payout handling
We reconcile Stripe via payout reports and Stripe Dashboard exports. We support both standard and custom payout schedules.
Common Questions
Why is Stripe reconciliation complex?
Stripe nets payouts — subtracting fees, refunds, and disputes before depositing. Without proper reconciliation, your revenue and expense figures are both wrong.
Do you support Stripe Connect (marketplace)?
Yes. We handle Stripe Connect payout reconciliation for marketplace and platform businesses.
Can you track MRR from Stripe?
Yes. For SaaS businesses, we set up MRR/ARR tracking using Stripe subscription data.
What if I use Stripe and another processor?
We reconcile all payment processors you use — Stripe, PayPal, Square, and others — as part of your monthly close.
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