

Sync Mollie payouts and fees to Pyramid automatically
Automatically record Mollie payouts, settlements, and fees in Pyramid for accurate financial reporting. Eliminate manual reconciliation and ensure your accounting data stays current with near real-time sync.
Ideal for
Perfect for finance teams using Pyramid ERP who need accurate payment reconciliation. Ideal for businesses processing high volumes of Mollie transactions and companies looking to eliminate manual payout entry and reduce accounting errors.
Why Mollie–Pyramid automation matters
- ×Manual payout entry creates delays and increases error risk in financial reporting
- ×Missing fee data leads to inaccurate profit margins and tax calculations
- ×Delayed settlement recording creates cash flow visibility gaps
- ×High transaction volumes make manual reconciliation impossible to scale
Junipeer automatically syncs every Mollie payout and fee to Pyramid, creating accurate accounting entries without manual intervention.
Benefits
- ✓Automatic payout recording creates journal entries in Pyramid as soon as settlements arrive
- ✓Complete fee and VAT breakdown syncs transaction costs for accurate profit calculations
- ✓Real-time reconciliation visibility shows exactly which payments have been settled
- ✓Scale payment processing without adding manual accounting workload
How it works
Connect your systems
Link Mollie and Pyramid securely — no custom development needed
Configure accounting rules
Set up chart of accounts mapping and define how payouts, fees, and VAT should be recorded in Pyramid
Map your data
Match Mollie settlement fields to Pyramid journal entries and configure fee allocation rules
Run a test sync
Process sample payouts to verify accounting entries appear correctly in Pyramid with proper categorization
Go live
Activate automatic syncing — every Mollie payout creates accurate accounting entries in Pyramid
Pricing
This integration is available as a custom setup. Contact us for pricing and details.
Get a quote