Automate Account Reconciliations, Transaction Matching, and Flux Analysis
Thursday, January 25, 2024, 10:00 – 10:30 a.m. PST
The month-end close is a critical process for accounting and finance teams. Relying on spreadsheets to reconcile and match general ledger accounts can lead to errors, delays, and inefficiencies that hinder your organization's financial agility and make the financial close process harder than it needs to be.
Join this live product demonstration to learn how NetSuite Account Reconciliation can:
- Centralize all reconciliations, including bank reconciliations, credit card matching, intercompany transactions, fixed assets, accruals, and account receivables and payables.
- Drill back to NetSuite General Ledger details to gain real-time visibility and auditability.
- Streamline your reconciliation and transactions matching processes with built-in workflows designed to enhance efficiency and accuracy.
- Provide unlimited data storage, accommodating your growing volume of financial transactions.