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Discover new innovations across NetSuite with 2026 Release 2
■ NetSuite 2026.2 Release Notes
■ NetSuite SuiteApps Release Notes
■ NetSuite Sneak Peeks
■ Release Preview Guide
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■ NetSuite 2026.2 Release Notes
■ NetSuite SuiteApps Release Notes
■ NetSuite Sneak Peeks
■ Release Preview Guide
■ Release Preview Test Plan Template
Action Required: Review and submit pending reconciliation matches before the NetSuite upgrade to avoid rework. After 26.2, unsubmitted matches will be unmatched. For more details, see SuiteAnswers 1047397
Check Printing Issues
Good Morning Gurus,
Let me preface this by saying we went live last month.
Our accounting team is running into a couple issues with check printing, both of these issues, we had initially gone over with our implementation team and thought they were worked out.
Both issues come from check printing.
First issue (image below),
The company name is being squished on the remittance slip and is overlapping the date below it.
Second issue (image below)
The account is printing under franchise tax board on the remittance slip and we cannot have that. This is an internal account.
Any help would be greatly appreciated.
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