Unlike generic accounting tools, this is built specifically for Stripe payouts. It automatically maps every balance transaction (fees, refunds, disputes, FX) to each payout, giving you a clear, auditable breakdown. No spreadsheets, no manual matching, just a precise explanation of where your money comes from and where it goes.
Hey everyone 👋
I built this because I kept running into the same problem:
Stripe payouts never really “make sense”.
You see revenue in your dashboard… but when the payout hits your bank account, the numbers don’t match. Fees, refunds, FX, timing differences — everything gets mixed together.
Most people end up in Excel trying to reconcile it manually (and it’s painful).
So I built a tool that breaks down every Stripe payout into a clear, auditable explanation:
→ fees
→ refunds
→ disputes
→ FX
→ adjustments
No spreadsheets, no guessing — just a precise answer to:
“Why did I receive this exact payout?”
I’d love your feedback 🙌
How are you currently handling Stripe reconciliation?
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