“Automating the Close Process” “76752” The monthly close process can be time-consuming and labor-intensive. Tracking down information from other departments, identifying errors and making corrections leads to overtime, delayed reports and frustrated stakeholders.
Learn how NetSuite can help you:
Automate: Allocations, Amortization Journal Entries & Bank Reconciliation
Quickly accomplish other tasks via the Period Close Checklist
Improve accuracy with NetSuite’s Advanced Reporting functionality