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Velaxe
PayStream — Payments, Billing, Reconciliation & Finance Operations | Velaxe

PayStream

Connect an accounting, ERP, or tax system

Create an ExternalSystemConnection with mappings and durable synchronization state.

15 min Advanced Finance Systems Administrator Updated Aug 23, 2026

Overview

Create an ExternalSystemConnection with mappings and durable synchronization state.

Prerequisites

None.

Permissions required

paystream.accounting.connect paystream.accounting.export

Steps (4)

Estimated: 15 min
  1. 1

    Create the external connection

    Finance Systems Administrator 3 min Back to top

    Select the external system type and create the workspace connection.

    Tips

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    Validation

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    Success criteria

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  2. 2

    Configure mapping

    Finance Systems Administrator 4 min Back to top

    Create the FieldMappingProfile and any external object mapping required by the workflow.

    Tips

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    Validation

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    Success criteria

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  3. 3

    Run finance synchronization

    Finance Systems Administrator 4 min Back to top

    Use SyncRuns and SyncItems to track export or synchronization work.

    Tips

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    Validation

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    Success criteria

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  4. 4

    Review cursors and conflicts

    Finance Systems Administrator 4 min Back to top

    Inspect SyncCursors, SyncConflicts, and external mappings for durable synchronization state.

    Tips

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    Validation

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    Success criteria

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About this guide

PayStream is the financial operations core for a Velaxe workspace. Manage billing profiles, collection orders, invoices, payment links, checkout sessions, subscriptions, usage, instalments, payment intents, manual payments, allocations, refunds, disputes, settlements, payouts, dunning, bank statements, reconciliation, provider connections, accounting and tax synchronization, finance events, and audit records from one application.

PayStream also acts as a finance capability provider for connected applications. Its canonical runtime exposes 111 semantic finance operations with operation, resource, and delegation authorization; ContextResolver exposes finance entities, relationships, timelines, actions, presentation, permissions, and change subscriptions; Bridge v2 supports governed external clients; and durable event records plus manifest-owned workers keep operational finance workflows observable.