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To configure ERP fast forward Bank Reconciliation 

  1. Create a folder to store the statement files
    Go to the NetSuite File Cabinet to create a new folder. This folder will be used to store all imported statement files. Please take note of the internal ID of the folder, this ID will be used later in the configuration.



  2. Set general preferences
    Most preferences for this SuiteApp are set per bankaccount, but there are a number of general preferences that can be set account-wide.



  3. Customise roles

  4. Set up Bank Account Configuration records for every bank account

    Steps 5 to 7 are optional

  5. Set up Multiple Statement Configuration records if you want to import one file for multiple bank accounts

  6. Create Custom Matching rules and Payment Difference Reasons
  7. Set up direct bank feeds.

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