Check out Oracle NetSuite upcoming events and conferences here
Now is the time to ask your NetSuite-savvy friends and colleagues to join the NetSuite Support Community! Refer now! Click here to watch and learn more!
Update your Profile with your Support type to get your Support Type badge.
Expand your NetSuite knowledge by joining our Ask A Guru Live sessions. RSVP on this event now.
Discover NetSuite's potential! Join our webinars, learn from experts, and optimize your operations. Whether you're experienced or new, secure your spot today and stay ahead in NetSuite!
Share with colleagues and friends who could benefit from our webinars too!

How to import and reconcile bank transactions for the first time in NetSuite?

edited May 31, 2023 3:53AM in Ask A Guru 3 comments

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?

Howdy, Stranger!

Log In

To view full details, sign in.


Don't have an account? Click here to get started!


Community Whiz

Quarter 1 (Jan-Mar 2024)

This Week's Leaders

This Month's Leaders

All Time Leaders