Stripe Agent Accounting: A Double-Entry Ledger on Top of Stripe Connect

Stripe tells you what happened. Stripe agent accounting tells you what it means in GAAP terms. Every charge, refund, dispute, fee, payout, and connected-account transfer is captured as a balanced journal entry — Stripe Receivable, Fee Expense, Stripe Payout, Connect Clearing — so your agent books close on the same day Stripe settles the bank. No T+2 reconciliation window, no "missing five dollars" support tickets.

Layer accounting on Stripe Connect

AgentBooks is a double-entry ledger API built for autonomous systems. Join the waitlist for early access.

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