We recently just switch to Netsuite from Quickbooks and I find the reconciliations to be extremely lacking. From no reconciling to underlying support for accounts that aren't banks/CC to dismal bank/CC rec interface. Does anyone have any tips that have helped them with their recs? I've used Blackline before with Workday financials and was really pleased Quickbooks rec function. My biggest issue is there is no direct integration and I haven't found a way to automate JE's based on specific bank text.