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Displaying the Bank GL account for Statement Imports
We have multiple bank accounts across many subsidiaries and there doesn't seem to be a way to view what Bank GL Account that the Imported Bank Statement has been allocated too. Does anyone have a workaround or know if this is going to be fixed. Very frustrating to go through each statement import to find the right one.
Also, as far as my finance team is concerned, the new statement import and reconciliation is a major fail. Why change what was working. Also, what NetSuite is offering is not a Bank Reconciliation as there is no report or reconciliation of what the bank balance is to the general ledger. Sort it out!
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