Coming Soon

Stripe to QuickBooks reconciliation automated.

Match payouts, split GL buckets, close in minutes instead of days.

The Problem

SaaS founders using Stripe + QuickBooks spend dozens of hours every close cycle manually matching payouts to revenue, splitting fees, refunds, and chargebacks across the right GL buckets. Existing solutions match transactions but don't reconcile P&L correctly, leaving work scattered across tools. One founder spent two years wrestling with this before finally solving it manually.

The Solution

StripeMatch automatically syncs your Stripe payouts and transactions into QuickBooks, intelligently splitting platform fees, refunds, chargebacks, and taxes into separate GL lines. You get a dashboard showing matched, unmatched, and exception transactions—then one-click approval to post everything to QB. No more manual journal entries.

Automatic Stripe payout matching to QB Undeposited Funds with zero manual entry
Intelligent GL splitting: fees, refunds, chargebacks, and taxes to separate buckets
Exception dashboard showing unmatched transactions and reconciliation gaps
One-click approval to post all matched transactions to QuickBooks

Built For

Seed-stage and growth-stage SaaS founders and finance ops managers running Stripe + QuickBooks with $50k+ monthly revenue. Also appeals to bookkeeping firms and QB consultants supporting these clients.

Interested?

Drop your email and we'll let you know when it's ready.

$399/month per workspace (freemium tier up to 10 reconciliations/month), or $0.20 per reconciled transaction for high-volume businesses.