How it functions?
After the ABSI SuiteApp has been setup and configured, it automatically connects to your bank’s server to enable secure retrieval of bank and credit card statement files and imports them into NetSuite.
Financial Institution plug-in is used to interpret the automatically imported bank statement files.
The imported bank statement is then viewable within NetSuite via the Imported Statement List page (Transactions > Bank > Banking Import History). The transaction Details will populate the Match Bank Data page for reconciliation activity.
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