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NetSuite ACH/WIRE financial transactions

Netsuite
Suitescript 2.1

Project goals:

- Implement and customize ACH/WIRE module to streamline financial

Transactions.

Accomplishments:

- A new ACH/WIRE system has been built.

- An approval workflow has been developed for the financial team from scratch.

- Several client scripts have been developed to prevent user errors and detect duplicate entries.

- Map/Reduce script has been developed in order to create separate WIRE records after processing the ACH records (using the client's confirmed mappings).

- Existing records have been successfully updated with a new context since the client started using these types of records before creating the approval workflow.

- A solution that tracks aging records and alerts the relevant team has been implemented in the final stage of the project.

Project Team:

1 Senior Netsuite Developer

Client:

International Philanthropy Company with 700+ employees

Outcome:

Cut the expences by optimizing the time spent by financial team

150 hrs
Outstaff
Netsuite
Suitescript 2.1

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