Credit Card Import for NetSuite – Import Statements, Reconcile Automatically

5 May, 2021
Event date: 23 June, 2021, 14:00


Watch our webinar recording below to see how you can automate the creation and reconciliation of your credit card statements in NetSuite.

– Simplify processing of credit card transactions: handle an entire statement on one page
– Import CSV credit card statements to eliminate manual entry and reduce errors
– Create custom matching rules for quick processing
– Manage as many cards, currencies, accounts and subsidiaries as you require.

Click Here to Watch

Next Webinar: 12th August (2pm) - An Introduction to Bank Reconciliaition for NetSuiteSign up here!