> ## Documentation Index
> Fetch the complete documentation index at: https://docs.layerfi.com/llms.txt
> Use this file to discover all available pages before exploring further.

# Stripe Treasury

> Sync activity from Stripe Treasury financial accounts into your customers' books.

Layer connects to [Stripe Treasury](https://stripe.com/treasury) to import activity from the embedded bank accounts your platform offers. Payments in, transfers out, and card spend all post to the customer's books without a separate import step.

## Setup

Share Stripe API access with Layer using the [Stripe configuration](/api-reference/v1/update-stripe-configuration) endpoint, then map each Layer business to its Stripe entities, such as a connected account.

Layer ingests transactions and balances from each customer's Treasury financial accounts as new activity comes in. Those accounts then behave like any other account in Layer, flowing through [transaction categorization](/guides/transaction-categorization) and [reporting](/guides/reporting).

This integration is enabled per platform. Reach out to your Layer contact to turn it on.

<Note>
  Also processing payments with Stripe? See the [Stripe payments integration](/integrations/payments/stripe) to bring that revenue into the books as well.
</Note>
