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How to import and reconcile bank transactions for the first time in NetSuite?
Hello, I'm new using Netsuite and I have some questions that I hope you can help me out with. All my open transactions and trial balances were imported to NS in the implementation. I'm trying to do my bank reconciliation and since I never did using NS before my last statement balance is zero. Is there a way to import the previous ones to NS? or how did you do when you started using NS?
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