Account Reconciliation Data Export and Import
With the Account Reconciliation Sync SuiteApp, you can export Account Reconciliation data in NetSuite and import it to your Account Reconciliation application.
The data types available for export include the following:
-
Organization Unit
-
Profile
-
Period
-
Global Period
-
Application Period
-
Currency Rates
For more information, see the following help topics:
Related Topics
- Account Reconciliation Sync SuiteApp Installation and Setup
- Required Features for Installing the Account Reconciliation Sync SuiteApp
- Installing the Account Reconciliation Sync SuiteApp
- Role Permissions for Account Reconciliation Sync
- Setting Up the Connection to Account Reconciliation
- Scheduling Script Deployments for Account Reconciliation Sync
- Loading Account Reconciliation Data into NetSuite
- Setting Up Token-Based Authentication
- Managing the Account Reconciliation Jobs
- Saved Searches for Account Reconciliation Sync
- Accounts for Group Reconciliation
- Transaction Matching Accounts