SuiteCPM
08/16/2024, 12:54 PMCeligo AI
08/16/2024, 12:55 PMAI generated answer (using internal Slack threads):To access data received from the bank via bank feeds in NetSuite, you would typically use the Bank Feeds SuiteApp. This SuiteApp fetches the bank statement from the bank's server and brings in transactions for reconciliation. Please note that the use of the Bank Feeds SuiteApp does not usually require you to pay any additional fees to the bank or financial institution. For automatic bank feeds, there are also third-party solutions available such as the one provided by Nolan Business Solutions. They offer a live feed for banks which could potentially help in reducing the time spent on manual bank imports. ****** Disclaimer: This response was generated by an artificial intelligence assistant based on previous conversations from multiple Slack channels, and may contain inaccuracies or mistakes. ******
Celigo AI
08/16/2024, 12:55 PMSlack thread 1: here (available only if the original thread was posted in the last 90 days)
Similarity score: 0.850318
Slack thread 2: here (available only if the original thread was posted in the last 90 days)
Similarity score: 0.849228561
Slack thread 3: here (available only if the original thread was posted in the last 90 days)
Similarity score: 0.837339044
Celigo AI
08/16/2024, 12:55 PM