nkhatri
06/04/2025, 1:25 AMCeligo AI
06/04/2025, 1:25 AMAI generated answer (using internal Slack threads):Based on the conversations, it seems that there are several issues that can arise when trying to sync bank data from Trovata to NetSuite for cash reconciliation. One of the common issues mentioned is the inability to pull bank reconciliation data even after linking the bank account to NetSuite via the bank feed suite app. This could be due to the fact that the bank feed suite app uses Yodlee's screen scraping technology, which can be problematic. A suggested solution for this issue is to use the ABSI (Auto Bank Statement Import) Suiteapp along with the Bank Statement Parser. This creates an authenticated SFTP connection with your bank's SFTP server and pulls the EOD statements. Another issue mentioned is the tediousness of the banking aspect in NetSuite, especially when dealing with multiple bank accounts across multiple currencies. One of the main issues is with batch payments and receipts. A suggested solution for this issue is to use a suiteapp like FastFour or Nolan's bank reconciliation suiteapp. These suiteapps can help to improve the banking aspect in NetSuite. However, it's important to note that these solutions might not work for everyone and it might take some trial and error to find the best solution for your specific situation. ****** 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
06/04/2025, 1:25 AMSlack thread 1: here (available only if the original thread was posted in the last 90 days)
Similarity score: 0.855988
Slack thread 2: here (available only if the original thread was posted in the last 90 days)
Similarity score: 0.855779529
Slack thread 3: here (available only if the original thread was posted in the last 90 days)
Similarity score: 0.854923189
Celigo AI
06/04/2025, 1:25 AM