Hi. I am having issues with the BAI2 importing of bank statements.
The issue is specifically around the BAI2 format, which NetSuite returns the following error on import:
'The file could not be imported, because the account control total: XXXXX is incorrect and does not match the sum of amounts. For specifications, check with your file provider.'
I have been through the provider documentation and I have done the calculations on each transaction to confirm control totals are correct. Any suggestions on how I can get this resolved?