No-contract revenue, fully recognized and posted.
Revenue comes from everywhere. NextClerk turns every transaction into recognized revenue, reconciled payments, and clean journal entries.
From transaction stream to clean books.
Every transaction becomes clean revenue, matched cash, and GL-ready entries.





Classify every event
Identify sales, upgrades, downgrades, disputes, refunds, and cancellations automatically.
Recognize without contracts
Apply revenue rules to transaction streams, app-store sales, usage files, and processor activity.
Post with traceability
Link every entry back to its source transaction, receipt, payout, or customer record.
Built for processors and app stores.
From payout to posted entry.
Connect your sources
Link Stripe, PayPal, the App Store, Google Play, and RevenueCat. NextClerk pulls every transaction and payout automatically.
Normalize the data
Fees, refunds, chargebacks, currency, and app-store cuts are untangled, so gross and net are both clear.
Recognize revenue
Subscriptions and usage are recognized correctly over their term, ASC 606 where it applies.
Reconcile & post
Match payouts to the bank, then post clean journal entries to your GL.
App-store math is messy
Apple and Google take their cut, hold funds, and pay out on their own schedule. RevenueCat tells one story and the bank tells another. NextClerk lines all of it up, so the number you book is the number you can defend.
Built for companies with multiple revenue streams.
Manage contracts, subscriptions, and transactions in one platform.
Stripe revenue, from transaction to books.
NextClerk pulls Stripe charges, subscriptions, refunds, fees, disputes, and payouts into one clean workflow — then turns them into revenue schedules, reconciled payments, and GL-ready journal entries.
Stripe events
Charges, subscriptions, refunds, fees, disputes, payouts
AI classification
Every event typed automatically
Revenue logic
Rules and schedules applied
Reconciliation
Payments, fees, and payouts matched
Journal entries
GL‑ready entries created
Accounting system
Posted to your books
Classify Stripe events
Automatically identify sales, subscriptions, upgrades, downgrades, refunds, disputes, fees, and payouts.
Reconcile payments and payouts
Match charges, refunds, fees, and bank payouts before close.
Post clean journal entries
Create entries for revenue, deferred revenue, cash, fees, credits, refunds, and adjustments.