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Payout to reconciliation Automation for NetSuite release notes, 2024.5.1

What’s enhanced

Duration to reconcile transactions

The Duration to reconcile transactions setting has been added under Settings and enables you to optimize search operations and reduce script execution timeout errors. 

In the Duration to reconcile transactions setting, input the number of days preceding the current date for which you want to reconcile transactions in NetSuite.

Example: If the current date is May 30th and you want to reconcile transactions since May 1st, enter ‘30’ in the setting. If you leave it empty, all available transactions are retrieved for reconciliation.

Limitation: The setting strictly accepts only whole numbers; therefore, entering values such as '3.5', '-10', or 'ten' is not permissible.

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