---
title: Step 11: Enable Bank Feeds
slug: svb/step-11-enable-bank-feeds
description: Bank feeds let your settled bank transactions flow automatically into your ERP for reconciliation, removing the need to export and import bank statements manually. 
docTags: bSho0M8HRjDvZq9EBIWDy
createdAt: 2026-07-04T21:24:25.528Z
---

Bank feeds let your settled bank transactions flow automatically into your ERP for reconciliation, removing the need to export and import bank statements manually.&#x20;

Follow the instructions below to connect your bank for automatic transaction syncing.

::Image[]{src="https://api.archbee.com/api/optimize/MM6nC_bKbIkwCRqiFZqEu/kUbLEnvemk63YMzJnr1t3_enable-bank-feeds-step.png" size="80" isUploading="false" position="center" caption="Enable Bank Feeds Step" width="800" height="380" darkWidth="800" darkHeight="380" showCaption="true"}

Enabling bank feeds gives you a reliable, secure flow of transactions from your bank into your ERP, so you can say goodbye to manual imports and statement formatting.

***

## On the Enable Bank Feeds page

### In-ERP setup instructions

The page provides a step list, a link to the relevant ERP page, and a short how-to video. Complete the steps in your ERP, then return to the wizard.

[Enabling Bank Feeds (NetSuite)](https://support.fispan.com/svb/enabling-bank-feeds-netsuite?_gl=1*1bmx3ml*_gcl_au*Nzg2NTc1NTE4LjE3NzkzOTMzNTguMTc1NzAwOTEwOS4xNzgzNjM5NTAyLjE3ODM2Mzk4Mjg.)

:::hint{type="info"}
**NOTE:&#x20;**&#x42;ank feed setup steps vary by bank and ERP. If you don't see an option described here or need help, please contact your FISPAN support team.
:::

