Record Mollie transactions in Yuki

Modified on Thu, 25 Sep at 2:37 PM

Disclaimer

All screenshots in the article were taken in the Dutch version of Yuki.


When you use Mollie as an online payment provider for your sales invoices in Yuki, the transactions below must be recorded correctly in Yuki:

  • sales invoice paid via Mollie
  • transactions in Mollie bank statement:
    • costs of Mollie 
    • payouts to business checking account 
    • receipts from debtors
  • transaction on business checking account
  • purchase invoice from Mollie.

Sales invoice paid via Mollie
The sales invoice paid through Mollie must be recorded in Yuki with the payment method 'Mollie' or 'Electronic transfer'. This will place the invoice in the 'Debtors: outstanding items' overview.


Transactions in Mollie bank statement

The imported Mollie bank statement contains the following transactions:

  • Costs of Mollie (Cost)
  • Payouts to business checking account (Revenue)
  • Debtor receipts.



Costs of Mollie (Cost)

Create a bank processing rule to book all costs charged by Mollie directly to creditor Mollie B.V. After importing the Mollie purchase invoice, the costs are automatically matched.


Processing rule (costs of Mollie)


Criteria:

Offset account: NL31ABNA0447075233

Offset account name: Mollie B.V.

Withdrawn/ Deposited: Withdrawn


Output:

Contact: Mollie B.V.

GL account: Creditors


Payouts to business checking account (Revenue)

No processing rule needs to be created for payouts. Yuki will recognize the Mollie bank account and immediately post the payment to the 'Internal transfers of funds' suspense account.


Debtor receipts


Sales invoices with Mollie payment link

Yuki will directly match debtor receipts with sales invoices if they are present in the administration.

 

Sales invoices without Mollie payment link

We recommend creating a processing rule for this. Without a processing rule, Yuki will not match the customer receipts with the sales invoices, causing the Mollie bank transactions to end up in the 'Bank transactions to be processed' workflow. 


Transaction on business checking account



No processing rule is needed for payouts to your business checking account. Yuki recognizes your checking account and automatically books the receipts to the  'Internal transfers of funds' suspense account.


Purchase invoice from Mollie



The imported Mollie purchase invoice is automatically booked with 'Direct Debit' as the payment method, because the invoice is debited directly from your Mollie bank account. The invoice is also matched with the transaction costs that have already been booked under creditor Mollie B.V.


Was this article helpful?

That’s Great!

Thank you for your feedback

Sorry! We couldn't be helpful

Thank you for your feedback

Let us know how can we improve this article!

Select at least one of the reasons
CAPTCHA verification is required.

Feedback sent

We appreciate your effort and will try to fix the article