Discussions
Stay up-to-date with the latest news from NetSuite. You’ll be in the know about how to connect with peers and take your business to new heights at our virtual, in-person, on demand events, and much more.
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!
Stay in the Know
Be sure you're subscribed to NetSuite communication to stay in the know about monthly happenings, updates and announcements. Subscribe
Be sure you're subscribed to NetSuite communication to stay in the know about monthly happenings, updates and announcements. Subscribe
Please note that on Friday, March 20, 2026, at 8:00 PM Pacific time, our Case Management System will undergo a scheduled maintenance for approximately 4 hours. During this time, case creation via SuiteAnswers will be unavailable and inbound calls will be routed to Customer Service.
How to set up Intelligent Transaction Matching for Bank Data?
Hello
I'm trying to create my own reconciliation rules for intelligent transaction matching for bank data. I can get it to work for the following rule;
However, when the Netsuite side is a journal, it will only work if there's one bank GL line on the journal, like this
but not if the journal has multiple bank GL lines
So when you look at bank match data page it just doesn't auto allocate.
Is this a limitation?
Thanks
Jennie
Tagged:
0