Integrate every accounting system with one API

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Supported accounting platforms

Abstract away API complexity with Merge

Use cases

Read and write financial data

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Evaluate (governance, risk, and compliance)

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Billing

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Financial planning & analysis

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Spend management

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Procurement

Search and select specific files to share

  • File data

Search across all documents

  • Drive
  • Folder
  • File data

Download documents

  • Folder
  • File data

Upload and organize documents

  • File
  • Folder data

Update existing tickets and fields

  • PATCH Tickets

Create new to-dos directly from your app

  • POST Tickets

Visualize and analyze the status of projects and teams

  • GET Tickets from Asana and Jira

Add Closed Won customers to a customer success tracker

  • Opportunities
  • Accounts
  • Engagements data

Know what stage an opportunity is in

  • Opportunities
  • Accounts
  • Engagements data

Create & track customer interactions

  • Opportunities
  • Accounts
  • Engagements data

Monitor customer health & sentiment

  • Opportunities
  • Accounts
  • Engagements data

Add sourced contacts or companies to a CRM

  • creating Notes

Create notes in a CRM

  • creating Notes

Assign tasks created in CRM

  • creating Tasks

Pull information on prospects/leads

  • Accounts
  • Contacts
  • Leads
  • Opportunities data

Update details to track calls and meetings

  • Pulling or posting Opportunities
  • Accounts
  • Engagements information

Provide data visualizations based on customer data

  • Accessing Accounts
  • Opportunities
  • Leads data

Calculate values of opportunities and leads

  • Opportunities
  • Leads data

Read $ Amount from Opportunities to understand financial health of a company

  • Pulling Opportunities data

Update details on opportunities, leads & contacts

  • Creating and updating Opportunities
  • Leads
  • Contacts

Pull details on opportunities and accounts

  • Accounts
  • Contacts information

Add candidates to your recruiting pipeline

  • Candidate data

Manage headcount planning

  • Jobs data

Track new hires

  • Offer
  • Candidate data

Track candidates through their entire interview process

  • Application
  • Interviews
  • Job Interview States
  • Notes data

Power rich analytics about your customers’ talent pipeline

  • Interviews data

Pull information from multiple ATS providers into a platform / dashboard

  • Candidate
  • Offer
  • Jobs data

Pull EEOC demographic data

  • Candidate data

Manage employee referrals

  • Candidates
  • Job data

Manage candidates during the recruitment lifecycle

  • Candidate
  • Offer
  • Jobs data

Connect different HR platforms

  • Employee data

Deprovision employees when they leave a company

  • User
  • Group
  • Teams data

Autoprovision user accounts, credit cards, device management, and software licenses

  • User
  • Group
  • Teams data

Pull time off (PTO) information

  • Time Off
  • Employee data

Onboard and offboard employees once they’re hired

  • Employee data

Construct org charts

  • Employee
  • Teams data

Pull salary information

  • Employments data

Pull benefit information, employee, and company contributions

  • Benefits data

Understand who was paid, when, benefits, deductions, and taxes

  • Payroll
  • Payroll Run data

Track company spend

  • Transaction data

Automatically create purchase orders

  • Purchase Order data

Receive payments

  • Payments

Track vendor bills

  • Invoices

Transfer money

  • Journal Entries

Invoice customers

  • Invoice data

Record credit card purchases

  • Transaction data

Forecast revenue

  • Transaction data

Create dashboards

  • Transaction data

Candidates partnership qualifications

  • Balance Sheet
  • Income Statement
  • Cash Flow data

Candidate's application for tax credits

  • Balance Sheet
  • Income Statement
  • Cash Flow data

Candidate's fitness for a loan

  • Balance Sheet
  • Income Statement
  • Cash Flow data

The financial health of a company

  • Balance Sheet
  • Income Statement
  • Cash Flow data
Accounting
HRIS
CRM
ATS

How Causal sped up their self-serve time-to-value by 20% with Merge

Accounting

Confido integrates Accounting and ERP systems to automate cash management

Payments

The Payment object represents general payments made towards a specific transaction.

Payments
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Phone Numbers

The AccountingPhoneNumber object is used to represent a contact's or company's phone number.

Phone Numbers
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Purchase Orders

A PurchaseOrder represents a request to purchase goods or services from a vendor. It outlines the details of the purchase, such as the items or services requested, quantities, prices, and delivery details. A PurchaseOrder is a crucial component of the procurement process, but does not typically result in any impact on the company’s general ledger. The general ledger is typically only affected when the PurchaseOrder is fulfilled as an Accounts Payable Invoice object (also known as a Bill).

Purchase Orders
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Tax Rates

The TaxRate object is used to represent a tax rate.

Tax Rates
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Tracking Categories

A TrackingCategory object represents a categorization method used to classify transactions within an accounting platform. They are often used to group records for reporting and analysis purposes. The most common types of TrackingCategories are Classes and Departments.

Tracking Categories
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Transactions

The Transaction common model includes records of all types of transactions that do not appear in other common models. The type of transaction can be identified through the type field. More specifically, it will contain all types of transactions outside of: Credit Notes__ Expenses__ Invoices__ Journal Entries__ Payments__ Purchase Orders__ Vendor Credits__

Transactions
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Vendor Credits

A VendorCredit is transaction issued by a vendor to the accounting company, indicating a reduction or cancellation of the amount owed to the vendor. It is most generally used as an adjustment note used to rectify errors, returns, or overpayments related to a purchasing transaction. A VendorCredit can be applied to Accounts Payable Invoices to decrease the overall amount of the Invoice.

Vendor Credits
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The leading API for financial data

Whether you need to read or write, Merge makes your build easy

Don’t overengineer it

Write to any platform

Write data across all major third-party APIs. Use our Unified API’s  /meta endpoint to anticipate required fields for every integration.

First impressions are important

Gain sandbox access

Access sandbox accounts with all major accounting platforms, including Netsuite, to test your build before you deploy.

Build from the ground up

Pull Transaction data

Merge’s API is designed to give you granular access to all transaction data — from journal entries, to payments and invoices.

“Merge makes my accounting integrations seamless. It abstracts out all of the integration headaches while providing the flexibility to hit the underlying API directly. I cannot recommend them enough to folks building accounting integrations!”

Kara Holinski
Co-founder and CTO, Confido

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