Walley payouts & fees in Visma Business NXT automatically
Sync Walley payout data, settlement details, and transaction fees directly to Visma Business NXT for accurate accounting. Eliminate manual reconciliation and ensure your financial records are always up-to-date with automated journal entries.
Ideal for
Finance teams using Visma Business NXT who need accurate Walley payment reconciliation. Perfect for businesses processing high volumes of Walley transactions and companies looking to eliminate manual accounting work.
Why Walley–Visma Business NXT automation matters
- ×Manual reconciliation of Walley payouts takes hours each week
- ×Transaction fees and VAT often posted to wrong accounts
- ×Settlement timing mismatches cause accounting delays
- ×High payment volumes create unsustainable manual workload
Junipeer automatically syncs Walley payout data to Visma Business NXT, creating accurate journal entries with proper fee allocation and ensuring your books match your bank deposits.
Benefits
- ✓Automatic payout recording creates journal entries in Visma Business NXT without manual data entry
- ✓Fee and VAT handling splits transaction costs into correct accounting categories automatically
- ✓Complete reconciliation visibility shows settlement details matched to bank deposits
- ✓Scale payment processing without adding accounting overhead or manual reconciliation work
How it works
Connect your systems
Link Walley and Visma Business NXT securely — no custom development needed
Configure accounting rules
Set up account mapping for payouts, fees, and VAT to match your chart of accounts structure
Map your data
Define how Walley settlement data creates journal entries in Visma Business NXT
Run a test sync
Verify payout amounts, fee allocations, and VAT postings appear correctly in your accounts
Go live
Activate automatic syncing to receive Walley settlement data in Visma Business NXT daily
Pricing
This integration is on our roadmap. Join the waitlist to be notified when it's available.