QRecon automatically groups payouts, validates balances, tracks refunds across payout cycles, and prepares structured QuickBooks entries with operational confidence.
QRecon organizes Stripe and PayPal sales, refunds, fees, and adjustments into actual payout settlement groups before reconciliation begins.
QRecon calculates confidence scores for every payout and transaction so finance teams can automate high-confidence reconciliations safely.
Route low-confidence payouts, refunds, and adjustments into a centralized operational review workflow.
Handle refunds, partial refunds, disputes, and reversals across different payout periods correctly.
Validate opening balance, sales, fees, refunds, and final payout totals before posting to QuickBooks.
Accounting firms can manage multiple ecommerce clients from one centralized dashboard.
Every reconciliation decision, payout status change, and posting event is logged and traceable.
Built for ecommerce businesses processing thousands of payout transactions every month.