Discussions
Stay up-to-date with the latest news from NetSuite. You’ll be in the know about how to connect with peers and take your business to new heights at our virtual, in-person, on demand events, and much more.
New AI Community Guidelines. Please review and follow them to ensure AI use stays safe, accurate, and compliant.
Reconciliation of GL accounts
We are using the bank reconciliation functionality to match and reconcile our bank accounts but we also want a way to reconcile transactions in other GL accounts. For example for any given GL account I want to tick and tie transactions so I know what makes up the balance. I could add a check box to do this manually but I was wondering if anyone has built anything more complex then this.
Thanks
0