Automate account reconciliations and close checklists in one solution
Wednesday, October 16, 2024, 10:00 – 10:30 a.m. PDT
The month-end close is a critical process for finance teams. Relying on spreadsheets to reconcile and match balance sheet accounts can lead to errors, delays, and inefficiencies, hindering your organization's financial agility and complicating the close process.
Join this product demo webinar to learn how NetSuite Account Reconciliation can:
- Centralize all reconciliations, including bank reconciliations, credit card transactions, intercompany transactions, fixed assets, and accruals.
- Provide real-time visibility and auditability by drilling back to NetSuite General Ledger details.
- Streamline your reconciliation and transactions matching processes with built-in workflows for enhanced efficiency and accuracy.
- Provide unlimited data storage, accommodating your growing volume of financial transactions.