The Ultimate Guide to Setting up Bank Parsers and Bank Statement Imports in NetSuite
Are you interested in making your financial processes more efficient and optimizing your NetSuite experience? Well, the key lies in connecting bank parsers and setting up bank statement imports. These processes allow for your organization to import bank activity daily, thus significantly reducing time to close at month end. In this guide we will walk you through each step of the process to help you successfully implement this functionality within NetSuite.