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Step-by-Step Guide
Complete the Header section of the Credit Card Statement
- Name: Provide a name for your Credit Card Statement
- Enter value for the Statement Start Balance
- Enter the Statement closing balance as Statement Total
- NetSuite balance: Once all your transactions has been created, the General Ledger should balance to the Statement Total
- The Difference should always be zero
Process Statement Charge Lines
- Account: Provide the General Ledger expense account for each line
- Name: Provide the name of the Vendor the charge is for, or
- Leave blank if you would like to post the expense to the default miscellaneous Vendor specified on your Credit Card Configuration
- Department, Class, and Location defaults could be set either:
- On the Credit Card Configuration
- A custom matching rule
- Selected manually on the line during processing
- If you have configured any Custom Fields for you account,
- defaults could be set from a custom matching rule (this will apply on SAVE and be visible in VIEW mode)
- Selected manually on the line during processing
Processing Statement Credit Lines
(See Supported Scenarios)
- If you have paid the Credit Card from a Bank Account using Fast Four Bank Reconciliation SuiteApp,
- Account: Use a clearing account
or
- If you do not use Fast Four Bank Reconciliation SuiteApp, and will be using Standard NetSuite Bank Reconciliation
- Account: Use AP control account
- Name: select the vendor representing the Credit Card Provider
- Through the normal AP process (pay bills), pay the representing Bank from the regular bank account