Bank Feeds
Setting Up Permissions (NetSuite)
Learn how to customize the deployment of Fusion Transaction Feed Config by easily adding employee roles with these step-by-step instructions. Increase efficiency by selecting the right employee, department, or role and saving the changes.
Adding Accounts to Bank Feeds (NetSuite)
Use this guide to add and configure Bank Feeds for new accounts. Bank Feeds must be enabled by following the Enabling Bank Feeds (NetSuite) guide before completing the following steps to add new accounts.
Excluding Duplicate Transactions (NetSuite)
Keep your imported bank data clean and accurate by excluding duplicated or unwanted transactions directly within NetSuite's Match Bank Data page.
Migrating Bank Feeds (NetSuite)
To leverage the latest improvements in Bank Feeds functionality, including increased reliability and better balance reporting, your NetSuite administrator must update the bank bundle, deactivate the existing Bank Feeds configuration, and set up the new service using the \[Bank] Transaction Feed parser. Instructions to complete these steps can be found on this page.
Disabling Bank Feeds (NetSuite)
This document provides a concise summary of why the requested information cannot be provided, offering readers a clear understanding of the limitations.
Enabling Legacy Bank Feeds (NetSuite)
This email from santander. support@fispan.