Mollie x AFAS

Post Mollie payouts to AFAS with clear reconciliation lines

Mollie x AFAS via Aqqo

Connect Mollie to AFAS with Aqqo and turn payment flows into accounting entries you can review and approve. Settlements are grouped, fees are separated, and payouts are posted to a clearing account so reconciliation stays under control. You keep a clear link between bank payouts and the underlying transactions.

About Mollie

Aqqo creates the payment request from the correct process; Mollie handles the transaction. Aqqo then processes the available status for the corresponding booking, order or invoice.

About AFAS

Aqqo contains the data behind journal entries, customers and invoices. AFAS takes care of the financial processing. By connecting both systems, you pass on debtors and journal entries from the process in which they arise.

Advantages

  • Spot payout mismatches faster with structured settlement journals
  • Keep visibility on timing differences between sale and payout
  • Separate fees, refunds, and chargebacks into dedicated lines
  • Book payouts to a clearing account for controlled reconciliation

For who

  • payments teams reconciling payouts, fees, and chargebacks
  • finance teams that need visibility on settlement timing
  • teams handling high transaction volume across payment methods

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