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Bank Matching

edited May 17, 2021 2:38PM in Ask A Guru 2 comments

When we change from bank reconciliation to account reconciliation - NONE of the existing transactions are showing up.

It would seem that account reconciliation is 100% reliant on bank statements being imported. Is this the case? We have accounts with Banks that are not compatible with the bank fees module. For example, TD Canada - the link is with the personal accounts and NOT business accounts - so we are unable to use the financial institution setup.

Can one actually use account reconciliation with OUT uploaded bank statements? Just trying to understand the impact "This reconciliation page is deprecated as of NetSuite 2021.1."

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