NetSuite Accounting Tools

NetSuite Accounting Tools

Presenting a complete set of accounting solutions by NetGain.

NetGain is dedicated to providing reliable insights into your business’s financial well-being, which forms the core of its operations. NetGain firmly believes that employing the appropriate tools and systems can help you reclaim valuable time in your day and eradicate uncertainties and mistakes associated with manual procedures.

With NetGain, you can concentrate on what is truly important – confidently steering crucial business decisions and making a real difference.

NetLease

As a Native SuiteApp, NetLease puts lease accounting and compliance in your core financial system. Managing lease accounting compliance and workflows can be inherently complex, especially when relying on error-prone spreadsheets or difficult-to-use software. NetLease is a user-friendly software solution crafted to streamline the lease accounting process. With NetLease, you can consolidate and manage all your leases into one platform, enabling your team to reclaim time lost to manual errors and prioritize higher-value tasks.

NetAssets

All in one native Fixed Asset Management tool expands on the native NetSuite Fixed asset module and has the following capabilities:

  • Bulk processing
  • Construction in Progress (CIP) build-up
  • Proper segregation of duties across AP, fixed asset, accounting, and facilities teams
  • Advanced reporting, including fixed asset roll-forwards and waterfall reports
  • Direct connection to vendor bills and projects
  • Comprehensive physical asset tracking
  • Intercompany asset transfers and
    eliminations
  • Asset build-ups, splits, revaluations
    and disposals
  • Advanced alternative depreciation
    schedules and multi-book enabled

NetCash

Simplify your Bank Reconciliations. Say goodbye to outdated file transfers and manual bank reconciliation and hello to open banking. NetCash connects to your bank and manages bank reconciliations seamlessly—all within NetSuite. Key capabilities include:

  • Easily review and confirm transaction matches
  • Automatically sync bank transactions
  • View your bank data easily within NetSuite
  • Ensure accuracy with automated bank-to-GL matching
  • Simplify the cash application process
  • Automatic recording of intercompany bank transfers
  • Generate detailed proof
    of cash reports
  • Access intuitive reconciliation and ending balance summaries
  • Automate the creation of transactions upon bank deposits