Summary
There are so many accounting- and finance-related features in NetSuite that we could not possibly cover them all in this book. We learned about the GL, currencies, banking, and Journal Entries in this chapter. You will almost certainly learn more while helping your clients with their implementation, but hopefully, this chapter has gotten you started and given you some pointers in the right direction. To become more familiar with these features, read the Help pages and SuiteAnswers under the Accounting heading and stay up to date with new features as they are rolled out twice a year. And as always, there are lots of resources outside of NetSuite now as well.
In the next chapter, we will focus on the Procure to Pay transactions, such as purchases and receipts, vendor bills, and payments.