Optimize Financial Processes: Automated reconciliation

Unlock the full potential of your financial processes. Gain internal control by automating your reconciliation process, enhance accuracy and completeness, and gain deeper insights on a transactional level by seamlessly integrating different sources, like Paypal and NetSuite, to the Actuals platform ((Self-build)backends, datawarehouses, Payment Service Providers and accounting systems).

Here's how Actuals makes your NetSuite Paypal integration easier

Connectivity with Multiple Sources: Flexible Integration Options 

Easily integrate with multiple sources: (self-build) backends, Datawarehouses (DWH), Payment Service Providers (PSP’s) like Adyen and accounting systems like Netsuite. Our platform supports a wide range of PSP’s such as Adyen, Paypal, Stripe, Mollie and many more. Along with a variety of accountings systems such as Netsuite, Exact Online, Twinfield and many more. Explore the diverse integration options available to tailor the platform to your specific requirements.

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Discover Actuals: Revolutionize Your Financial Processes
 Single Source of Financial Truth | Almost Perfect Matching |  ISAE3402 Type II Certification | SOC 2 Type 1
 Unlock the power of the Actuals platform by automating the reconciliation process, for which you will gain financial knowledge on a transactional level.

Automated Integrations: Effortless Integration with Powerful APIs 

Integrate NetSuite and Paypal seamlessly with our powerful automated approach (e.g. API’s). Simplify the integration process by automating connections via API, scheduled reports through SFTP, Snowflake, Google Cloud Platform etc. Actuals handles the technical aspects, ensuring a swift and efficient setup, while you focus on your core business operations.

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Reconciliation Package: Achieve Almost Perfect Matching in Your Reconciliation

We strive for almost perfect matching on our reconciliation platform by integrating all used Payment Service Providers (PSPs), such as Paypal, with other sources like the accounting system Netsuite or the back end like Salesforce. Automate the reconciliation process for internal control and seamless financial month-end and year-end closing.

Month-End and Year-End Closing: Efficiency Redefined for Closing Procedures 

Actuals aims to achieve a 99.99% matching on our reconciliation platform by providing a streamlined solution. Have a continuous monitoring on unmatched transactions, resolving discrepancies before month-end closing. Perform in depth-analyses on a transactional level (e.g. on orders, payments, refunds and chargebacks) enhancing an efficient month-end closing. At year-end, access comprehensive reports for external audit purposes.

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Additional Reporting Dashboards: Insightful Reporting at Your Fingertips 

Access advanced reporting dashboards, including custom dashboards tailored to your specific needs. Generate open-ending balance reports and additional insights with real-time financial data for both an efficient month-end closing, as for decision-making purposes. Driving better financial management and planning.

Experience the Transformation: Book a Demo! 

Contact us today to book a demo and witness how integrating NetSuite and Paypal with Actuals can transform your financial operations. Our team is prepared to showcase the full potential of our platform, streamlining your processes, enhancing accuracy and completeness, and providing deeper insights into your transactions.