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New to NetSuite | Custom Scheduling for Automatic Bank Transaction Imports (2026.1)
Starting in NetSuite 2026.1, you can tailor when automated bank transaction imports run so they better match your organization’s workflow and the times your bank makes transaction data available. This enhancement is especially useful for teams that rely on automated imports as part of their bank reconciliation process and want more control over timing.
The update introduces a new Import Schedule capability that lets you define how often imports occur, the interval between runs, and the preferred times of day for those imports. Instead of relying on a one-size-fits-all schedule, you can align import activity with operational needs such as importing shortly after your bank posts daily transactions or timing imports around key reconciliation windows.
Ayitah Tallada | General Accounting and Asset Management
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