Join us in this webinar as we show you how to speed up month-end in NetSuite with Nolan's Advanced Bank Reconciliation!
This webinar will cover the manual import of bank & credit card statements, auto-match rules, auto-generate templates, journals & intercompany journals, reconciliation, reporting, and automated bank feeds & scheduling functionality.
With user-definable matching and grouping rules, tailored to produce the most accurate results, you can speed up your month end bank reconciliation process from hours or even days to just minutes.
Your finance team can now focus their attention on other important tasks. Often bank reconciliations are performed by senior members of the finance team, by automating this task these valuable resources are freed up to concentrate on value adding activities.
As soon as the reconciliation is complete, you have an up to date overview of all of your accounts and you can make decisions based on real-time information.