ACH Unbatching (NetSuite)
if your organization has enabled the ach reconcilement details service, you can now view unbatched ach transactions directly within the transactions page to view these transactions, simply click yes in the items column of the transaction details pop up this additional service supports your daily reconciliation by providing granular details for batched ach transactions appearing on your bank statement bank feeds allows you to export this detailed view, significantly reducing the time spent manually matching transactions ach payments made through the plugin are fully compatible with ach reconcilement details these transactions are specially enriched to maximize the potential for automatic matching once uploaded to bank feeds to learn more about enabling ach reconcilement details for your organization, please reach out to your jpmc treasury management officer