Your role requires certain permissions to use banking features in NetSuite. The following table provides the permissions required to use the Financial Institution Records, Statement File Import, Automated Cash Application, Intelligent Transaction Matching, and Account Reconciliation feature:
Feature |
Permission |
Description |
---|---|---|
Financial Institution Records |
Financial Institution Records |
Create and save financial institution records and associated format profiles where you can configure account linkings and bank transaction codes. This permission requires a full access level. For more information, see Financial Institution Records. |
Statement File Import |
Import Online Banking File |
Access the Upload File page and Banking Import History page. Access levels include:
For more information, see Bank Data Import. |
Automated Cash Application |
Automated Cash Application |
Access the Automated Cash Application page. This permission may be enabled by default depending on your role. Full is the only access level. |
Accounts |
View and select accounts on the Automated Cash Application page. Your user role must have view-level access at a minimum. |
|
Customer Payment |
View, edit, or create the customer payment record. Your user role must have edit-level access at a minimum. |
|
Invoice |
View, edit, or create the invoice record. Your user role must have edit-level access at a minimum. |
|
Intelligent Transaction Matching and Account Reconciliation |
Accounts |
View and select accounts on the Match Bank Data and Reconcile Account Statement pages. All newly-created accounts automatically use these pages. If you have existing accounts that do not use these pages, you should check the Use Match Bank Data and Reconcile Account Statement Pages box on each existing account record. If you are using NetSuite’s default BAI2 or CAMT.053 parsers, you need to set up account linkings on the Account page. For more information, see the help topic Editing an Account. Your user role must have view-level access at a minimum. |
Matching Rules for Online Banking |
Access the Reconciliation Rules page. Access levels include:
|
|
Reconcile Reporting |
Access the Reconciliation History Report, Reconciliation Detail Report, and Reconciliation Summary Report. |
|
Reconcile |
Access the Match Bank Data and Reconcile Account Statement pages and match transactions. Some roles may have the Edit or only the View access level.
The Account Reconciliation Summary portlet is also on your dashboard by default. |
Other possible restrictions may impact the list of accounts and details that you can see:
-
Subsidiary Restrictions– For example, an employee of Subsidiary A can only access Subsidiary A’s account list, by default. However, if the user role has the Allow Cross-Subsidiary Record Viewing setting enabled, the account list contains all the available accounts for the user to reconcile.
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Department, Class, or Location Restrictions– For example, if your role has the Department Restriction set to own, subordinate, and unassigned, and has access to department A, you can only see accounts in department A, as well as its children or unassigned accounts. You cannot access an account from department B.