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We'd love to hear your thoughts on the Latest updates in the NetSuite Support Community (UI/UX edition) – December 2025. Your feedback is important to us—please let us know what you think or any suggestions you may have in the comments!

Reconcile Cash Sales Transactions

edited Jun 2, 2025 2:22PM in Social Groups

Do any clients out there have a quick mechanism to reconcile their bank accounts (individual cash register drawers) with all of the transactions that are processed through SCIS? Can you have several bank accounts (cash register drawers) flow to one main bank account that your company uses, basically these cash register drawers are sub-accounts to the main bank account?

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