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I feel like it's not as good as it used to be. Responses are incredibly slow. For example, I had a question that was open for weeks before i got a response. The "Gurus" also rely heavily on AI and it's quite obvious since the responses are factually incorrect and miss the point of what the question was asking
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@markbell10 Thanks for all of your help. I do have one other question: What connection method does the financial institution connectivity plugin use? 1 Does this connect using SFTP? or 2 does it retrieve the 'data' (payload) and parse this using the chosen parser? If it is 1.), I assume the file gets stored in the filing…
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Thanks so much for your response @markbell10 One question about: You can use the Financial Institution Connectivity Plugin (FICP) to connect to a bank server to retrieve statements. This allows you to write how the connection works. It can then pass the data to a parser (like ABSI) If you are using a financial institution…
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Hi @Ayitah Tallada-Oracle Third party Software and Suiteapps allow connection, download, parsing and upload of data into NetSuite's native match bank data screen. I am trying to work out: how? i.e. what script types would they be using if, at least based on the above discussion, this is not supported.
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@Richard James Uri-Oracle My last question was about the financial institution connectivity plugin. Not the sftp
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Hi @Bry Cabria-Oracle This is a how to question so will not be covered by basic support. In terms of what this is, please see: https://docs.oracle.com/en/cloud/saas/netsuite/ns-online-help/chapter_159077938079.html Bank Statement parser plug in:…
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@Richard James Uri-Oracle Is this a question you can answer please? thanks
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@Niña Camille G. Paule-Oracle Any updates?
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@Richard James Uri-Oracle To confirm, you are saying the financial institution connectivity plugin cannot be used to retrieve data and then upload into the bank reconciliation module. Is that correct? What would the financial institution connectivity plugin be used for in that case?
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@Richard James Uri-Oracle Can you please confirm it is possible to: retrieve files using a financial institution connectivity plugin parse the data contained in these files using a financial institution parser plugin once the files have been parsed, for these to be imported into match bank data automatically? thanks
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@markbell10 : I may be conflating ABSI with the Bank Feeds Suiteapp. The one that is provided by Saltedge is the problematic one (alongside NetSuite's Australian Bank Feeds Suiteapp)
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@Niña Camille G. Paule-Oracle : Any updates?
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Hi @Shorin Rio Daa-Oracle Did you see my follow up question?
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HI @Angela Bayliss and @Shorin Rio Daa-Oracle Does this method work for sales channels only using stock allocations that is specifically reserved for the sales channel?
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Hi @markbell10 To clarify, do you mean retrieving the files from the bank, storing them in the filing cabinet, and then using the Austomatic bank statement import suiteapp to upload the files to the bank statement import module? I didn;t think that would be possible. If you mean retrieving the files from the bank using the…
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@Richard James Uri-Oracle Thanks. So it is not possible to create an Sftp connection to download bank statements using the Sftp suiteapp, The Saltedge (Automatic bank statement suiteapp) is unreliable I wanted an alternative to this to download files and populate bank statements
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@Richard James Uri-Oracle Thanks for the reference to the Suiteanswer. Though if it is a current limitation, how do other third party bank feed suiteapps /bundles work? I would think there must be a way to script the upload or no other bank feeds would work
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Hi @Angela Bayliss There are over 20+ bank accounts. That would be impractical and that's why an automated solution is needed. The Australian bank feeds suiteapp is unusable because of the number of daily failed downloads holding up reconciliations. Likewise with Saltedge's (Automatic Bank Statement Parser) Do you know…
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@Richard James Uri-Oracle Bumpting this up
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Thanks @Richard James Uri-Oracle Is my understanding of the process of "Bank imports for statement reconciliations" and "sending Bank Payment Batches to the bank"correct?
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@Richard James Uri-Oracle Looking at the suiteanswer, i can't tell whether my understanding is correct for the points i mentioned
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