Discussions
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 | Re-run Bank Reconciliation Rules on Previous Import
This article explains a scenario where transactions were not automatically matched during bank reconciliation previously, and clarifies that the functionality is now working as intended after an Enhancement request.
Previously, while performing bank reconciliation, a transaction dated March 5, 2025 was not automatically matched after running reconciliation rules under Transactions > Bank > Match Bank Data. Upon review, it was found that the bank data was imported on March 7, 2025, while the corresponding journal entry was only created and approved on April 7, 2025.
Before, this sequence is critical because reconciliation rules in NetSuite follow a specific processing order. For reconciliation rules to work correctly, NetSuite requires the following hierarchy:
Ayitah Tallada | General Accounting and Asset Management
Did you know your engagement in our programs can lead to awesome surprises? That's right!
By participating and showcasing your skills, you'll get a chance to win exclusive rewards. Are you ready to unlock your potential and claim these amazing perks?
Learn more and join in the fun:
