Is there any "bonk obvious" reason I would be seeing cybersource-backed Customer payment transactions showing in Netsuite as "Processed by Gateway", but also showing in Netsuite as "Not Deposited" and being booked to the "Undeposited Funds" account? Is it not safe to assume that the Cybersource integration should automagically create "deposit" records in Netsuite when settlement batches are created?