@Nicolas Bean Frequently, I set up payment methods to post directly to pseudo Bank Accounts, and then reconcile using the standard NetSuite reconcile process using the payment statement to match against.
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Nicolas Bean
03/03/2020, 9:44 PM
ah ok - interesting approach
k
KevinJ of Kansas
03/03/2020, 10:10 PM
I think this was the same method we were discussing.