Close your books faster with NetSuite integration
Payable automates reconciliation by connecting banking data with your customer and invoice records directly from NetSuite. Enhance your reporting, accelerate financial close and make NetSuite work harder for you.
Accelerate your financial close by connecting NetSuite with your banking data in real-time.
Minimise errors with user approvals baked into syncing flows and audit trails for compliance.
Reconciliation logic maps transactions to invoices and bills, or your chart of accounts.
How it works
Bring all your payments and invoice data into a single dashboard and have a real-time view of your cash position and flow of funds.
Match incoming funds with correct invoice records, see who has paid what and when payments are due by you.
Keep NetSuite as your single source of truth, with the benefits of automatic reconciliation. Say goodbye to time-consuming journal entries.
One platform for financial control
Single source of truth
All your bank transactions and invoice data in a single platform. Always in sync.
Real-time cash visibility
Real-time data and key business insights, for busy finance and treasury teams.
Automated reconciliation and payout creation, with clever conflict resolution.
Integrate once and get up and running in no time, with no engineering effort.
Scheduled reports and strategic analysis to inform fast, proactive decision making.
Role based user permissions for compliant workflows and approvals.