Paying of vendors and reimbursing employee expenses via electronic means directly from the purchasing ledger is a function that is widely expected from modern accounting systems. Nolan's implementation team is able to define the formats required by the customer's banking software allowing companies to create output files containing the instructions to pay their vendors and reimburse their employees. Payments may be made through the system in any currency accepted by their bank.
The design flexibility allows Electronic Payments for NetSuite to be used by a wide variety of businesses, dealing with a wide variety of banks.
Features
Integrated with Netsuite.
Any number of export definitions can be created by Nolan.
Easily define vendor and employee payment details.