# Automated Sezzle accounting for payment reconciliation

Bookkeep connects your Sezzle payment data to your accounting platform, automating daily journal entries for fees and settlements — giving you accurate, reconciled financial records without manual work.

## Sezzle payment data is granular. Bookkeep makes it accounting-ready.

### Automated journal entries for Sezzle fees
Bookkeep posts a daily summarized entry capturing all Sezzle processing fees — keeping your clearing accounts accurate.

### Automated journal entries for Sezzle deposits
Each Sezzle deposit or settlement is recorded as a clean journal entry, making bank reconciliation straightforward.

### Multi-currency support
Sezzle entries reflect separate postings by currency (e.g., USD, CAD) when applicable for international merchants.

### Accurate fee breakdowns
Optionally map fees by subcategory — such as general vs. forex fees — for detailed accounting visibility.

## Built for merchants who want clean payment accounting

### Merchants using Buy Now, Pay Later
Automate fee and deposit entries for BNPL sales without manual entry.

### Multi-currency operations
Seamlessly account for Sezzle activity in multiple currencies.

### Multi-platform sellers
Combine Sezzle entries with other channels in one reconciled accounting workflow.

### High-transaction sellers
Handle hundreds or thousands of Sezzle payouts with consistent daily automation.

### Accountants and finance teams
Standardize Sezzle activity into your general ledger without time-consuming exports.

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