This month’s product highlight features Celigo’s Cash Application Manager for NetSuite. This out-of-the-box product automatically matches outstanding invoices in NetSuite with customer payments made via checks, ACH, and wire transfers. Companies save countless hours of manual invoice matching while […]
As part of a three-part series on leveraging NetSuite to make closing of the books faster, this second article addresses role segregation, approval process, and audit process. The first article highlighted tips on optimizing operational efficiencies for faster closing.
As the new year starts, companies with financial year calendars have already completed or are in the process of closing out 2017. The process can be a mere formality – taking just takes one or two days – or […]
We are pleased to announce the launch of Vendor Payment Manager. By automating transfer of vendor payment files between NetSuite and your banks, you can make your accounts payable (A/P) processes more efficient.
Vendor Payment Manager is now available for […]
As the holidays approach, many Finance and Accounting teams are preparing for — or thinking about — year-end closing of their books. For some companies, close happens in just several days. For others, it is a cumbersome process that […]