Do's and Don'ts

Do’s

  • Complete the matching manually; otherwise, funds will go into the bank account, but cash application and deposit reconciliation will fail. 
  • Accept partial payments. Paystand will apply the cash, create the corresponding ledger entries, and keep the invoice open.
  • Take into account that overpayments will remain unapplied in NetSuite.
Was this article helpful?
0 out of 0 found this helpful