Nonprofits can join us to learn about recent changes to the Bank Reconciliation process and the new possibilities. Reconciling your bank account with NetSuite is a critical step to ensure your financials match your bank account balances. We will share some ideas, tips and tool highlights to help with this process, including our bank import (including Bank Feeds). This workshop is not recorded and will be interactive.
Tuesday, September 17 and 24 | 2:00 p.m. – 3:00 p.m. CDT | Virtual Event