Download this fact sheet to see how finance teams using NetSuite are automating payment files and bank reconciliation with their banks.
Why do some companies manage payments and reconciliations smoothly, while others remain stuck with manual uploads and fragmented workflows?
The answer: by connecting all their banks directly to NetSuite through our certified SuiteApp. Finance teams can automate payment file submissions and import daily bank statements for effortless reconciliation.
The results speak for themselves, no more manual file handling, full compliance with approval workflows, and faster, cleaner reconciliations. This fact sheet shows how Cobase makes it possible, and how your team can achieve the same efficiency.