

Mollie payouts & fees automatically synced to Brightpearl
Automatically sync Mollie payout data, settlement details, and transaction fees to Brightpearl for accurate accounting. Eliminate manual reconciliation work while maintaining complete financial visibility across your payment processing and ERP systems.
Starting from €349/month →Ideal for
Finance teams using Brightpearl for accounting who process payments through Mollie. Perfect for businesses wanting to eliminate manual payout reconciliation and ensure accurate financial reporting without spreadsheet imports or data entry.
Why Mollie–Brightpearl automation matters
- ×Manual payout reconciliation takes hours each week
- ×Transaction fees and VAT often miscategorized in accounting
- ×Delayed financial reporting due to missing settlement data
- ×Growing payment volume makes manual processes unsustainable
Junipeer automatically syncs Mollie payout data to Brightpearl in near real-time, ensuring accurate accounting entries and eliminating manual reconciliation work.
Benefits
- ✓Automatic payout recording in Brightpearl when Mollie processes settlements
- ✓Accurate fee and VAT tracking with proper account allocation in your ERP
- ✓Complete reconciliation visibility between payment processing and accounting
- ✓Scale payment volume without increasing manual accounting workload
How it works
Connect your systems
Link Mollie and Brightpearl securely — no custom development needed
Configure accounting rules
Set up account mapping for payouts, fees, and VAT to match your Brightpearl chart of accounts
Map your data
Match Mollie payout fields to the correct Brightpearl accounting entries and cost centers
Run a test sync
Verify that settlement data creates accurate journal entries in Brightpearl before going live
Go live
Activate automatic syncing so all future Mollie payouts appear in Brightpearl without manual work
What's synced
Mollie → Brightpearl
- → Orders
Pricing
FAQ
Related integrations
Last updated: März 2026