Connect Bank Data to Every Accounting System Your Customers Use
Bank feeds are the backbone of modern bookkeeping. They let businesses reconcile transactions, categorize expenses, and close their books without manually keying in statements. But if you're a bank, fintech, or financial data provider, building one-off integrations to every accounting platform your customers use is expensive and slow to maintain.
With Apideck's Unified Accounting API, you push bank transactions, balances, and statement data into QuickBooks, Xero, NetSuite, Sage, and 20+ other platforms through a single endpoint. One integration, every accounting system your customers care about.
Why Bank Feeds Integrations?
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Reach every accounting platform with one API: Stop building bespoke integrations for each system. Apideck normalizes the data model so the same call works across QuickBooks, Xero, NetSuite, and beyond.
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Automate reconciliation for your customers: Push transactions and balances directly into the books, eliminating CSV imports and manual entry that lead to errors and stale data.
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Support multi-currency, multi-entity setups: Apideck's data model handles the complexity of mid-market and enterprise customers — multiple bank accounts, currencies, and entities.
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Keep credentials and tokens managed for you: Apideck Vault handles OAuth, token refresh, and credential storage, so you ship faster and stay secure.
Who's it for?
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Banks and neobanks that want to embed accounting integrations directly into their business banking experience.
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Bookkeeping and reconciliation platforms that need a clean, standardized way to write transactions back to source accounting systems.
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Cash flow and treasury tools that ingest bank data and need to push insights or categorized transactions into their customers' books.
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Expense management and AP/AR products that want bank-side context flowing into the same accounting systems that finance teams already use.
Apideck's Bank Feeds Integrations
Apideck provides the resources and write capabilities bank feed providers need, standardized across 20+ accounting and ERP systems.
Key Resources for Bank Feeds
Bank & Transaction Data
- Bank accounts with balances and account metadata
- Payments and transactions write-back
- Statement-level reconciliation support
Accounting Structure
- Ledger accounts and chart of accounts mapping
- Journal entries for direct postings
- Tracking categories for class, location, and department dimensions
Multi-Entity Support
- Company info and entity selection
- Multi-currency handling at the source
How Apideck Simplifies Bank Feeds
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Unified Data Model: Write the same transaction payload regardless of whether your customer uses QuickBooks, Xero, NetSuite, or Sage. Apideck normalizes field names, IDs, and account structures.
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Real-Time Writes: Apideck doesn't queue or cache writes. Transactions are pushed live to the source accounting system, so reconciliation reflects current bank activity.
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Managed Auth & Connections: Apideck Vault handles the connection UI, OAuth flows, and token refresh. Your customers connect their accounting system in seconds and stay connected without you managing credentials.
How Apideck Works
1. Customers Connect Their Accounting System
Apideck Vault provides a white-label connection UI. Your customers click connect, authenticate with their accounting system, and Apideck handles the OAuth flow end-to-end.
2. Push Bank Transactions and Balances
Use standardized endpoints to write payments, journal entries, and bank account updates. Apideck routes the call to the right downstream system using its unified schema.
3. Build Bookkeeping-Grade Bank Feeds
With reliable, real-time writes across every major accounting platform, you can deliver the automated reconciliation experience finance teams expect — without the integration backlog.
Supported Platforms
Apideck's Accounting API connects to the platforms your customers already use:
- SMB: QuickBooks, Xero, FreshBooks, Zoho Books, MYOB
- Mid-Market: Sage Business Cloud, Exact Online, Clear Books
- Enterprise: NetSuite, Sage Intacct, Microsoft Dynamics 365 Business Central, Workday
Transforming Bank Feeds
Building bank feed integrations one accounting system at a time is a multi-year engineering investment. Apideck collapses that into a single integration. Whether you're a bank embedding bookkeeping into business banking, or a fintech writing transactions back to customer ledgers, Apideck gives you reach and reliability across every major accounting platform.
Explore how Apideck can power your bank feed integrations today! View the Accounting API documentation.
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