NetCash
No reviews yetNetCash automates bank and credit card reconciliations, eliminating manual errors and delays while providing real-time, accurate cash visibility for a faster, more confident close.
Bank ReconciliationPayment ReconciliationClose Management
No reviews yet
Product tour
No media yet
Screenshots and product tours appear here once the vendor claims this page.
Features
Automate real-time matching between bank, credit card, and general ledger transactions
Access a direct cash flow statement on day one of close
Maintain accurate, up-to-date cash data with seamless CSV imports and secure open banking APIs
Generate audit-ready reports, including proof of cash and direct cash flow statements
Reconcile credit cards directly within NetSuite
Monitor, analyze, and act on cash trends without relying on spreadsheets
Implement quickly with fast deployment and immediate value
Eliminate errors caused by manual uploads and outdated information
User reviews(0)
Let us know what you think
