Netsuite has included in Release 2019.2 new functionality to assist staff responsible for the reconciliation of bank accounts and credit cards.
This webinar will provide those staff members with a detailed overview of this functionality and how it can be deployed to improve efficiency, productivity and compliance.
Exciting features include:
- Structured file formats that go beyond simple CSV
- Automatic matching of Bank Account numbers in the Bank File to the relevant Netsuite Bank Account
- Matching rules that can be applied to imported transactions using a variety of criteria
- Simplified manually matching
- Ability to create single records for new charges, deposits and journals
- And more……