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.
Keep an eye out for upcoming NetSuite events, including meetups, workshops, and webinars. These sessions are a great way to connect with peers, learn from experts, and stay current on the latest NetSuite updates and best practices. Registration links are provided in each event.
Save $300 - limited to first 1,000 registrants
Join the NetSuite community to innovate, connect, and discover what’s next.
SuiteWorld brings thousands of innovators, builders, and leaders together to learn, connect, and shape what’s next. This October, explore how to build a stronger foundation for growth through inspiring keynotes, major product reveals, hands-on sessions, and unforgettable moments—all in one place for our biggest event of the year. Register now
Join the NetSuite community to innovate, connect, and discover what’s next.
SuiteWorld brings thousands of innovators, builders, and leaders together to learn, connect, and shape what’s next. This October, explore how to build a stronger foundation for growth through inspiring keynotes, major product reveals, hands-on sessions, and unforgettable moments—all in one place for our biggest event of the year. Register now
NSC | Possible Reasons for Reconciliation Difference
Bank reconciliation is the process of aligning the information in your cash account records with the corresponding details on a bank statement. The objective is to identify and reconcile any discrepancies between the two sets of data, making adjustments to the financial records as needed. Essentially, reconciling the bank statement helps uncover differences between the bank's records and your books.
In instances where there is a difference, one of the following may have caused it:
- Transposition error in Ending Statement Balance
- Transactions that are yet to be entered in NetSuite
- Transactions that are yet to be reconciled
- Transactions that were Unreconciled
Tagged:
0