Social Impact Workshop: Using NetSuite Bank Reconciliation for NonprofitsThursday, March 20, 2025
2:00–3:00 p.m. CDT
Follow Up Workshop:
Thursday, March 27, 2025
2:00–3:00 p.m. CDT
Understand how to connect NetSuite financials and bank balances
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.
Nonprofits can join this webinar to:
- Understand the connection between your NetSuite financials and bank balances.
- Discover the options and steps to complete a successful bank reconciliation.
- Learn about possible ways to automate or speed up the bank reconciliation process.
The webinar is open to eligible nonprofit NetSuite customers that follow the below criteria:
- The organization’s primary purpose is non-religious and non-political.
- The organization does not discriminate based on race, ethnic or national origin, religious affiliation, gender, sexual orientation, age, disability, physical appearance, language, educational background or veteran status.
- The organization is not a government entity or public higher education institution.
Featured Speaker
Steve Heye
Social Impact Business Process Director
Oracle NetSuite