SaaS platform and marketplace businesses use Stripe Connect because it offers fast deployment, global payouts, and scalability, to name a few. But if you’re an accountant, you see a messier side of Stripe Connect, especially as transaction volume grows. Complexity around payments, fees, multi-tiered payouts, and more can overwhelm even the most experienced teams. To maintain order-to-cash clarity, you need an enhanced understanding of how Stripe Connect’s data gets organized.
Tips to manage and reconcile massive transaction volumes
The hidden pitfalls of edge cases and complex account relationships like fee splits, platform deductions, multi-tiered payout flows, and more
Real-life examples of how Rocket Lawyer simplifies reconciliation with automation
See more from our Cracking the Code series, including how to reconcile credits, billing, and payments with Stripe data.