Marketplace Kyriba Packaged Integrations for NetSuite

Kyriba Packaged Integrations for NetSuite

Kyriba

ERP Connectivity

Kyriba workflow Integrations for Payments, Cash Forecast, Bank Statements and more to NetSuite

Description

Kyriba CaaS ERP integrations provide a complete end-to-end solution between NetSuite and Kyriba, accelerating connectivity projects, eliminating project risk and drastically reducing connectivity costs.

  • Payments Processing: Utilizes NetSuite native processing for generating and transmitting payments to Kyriba. Pre-formatted mapping sends request to Kyriba’s CaaS ERP payments connector

  • Payment Status: Final bank payment status updates into NetSuite.

  • Cash Management: Import Cash Forecasting to Kyriba; Includes open customer and vendor invoices into Kyriba.

  • Cash Accounting: Export of GL entries from Kyriba to NetSuite. 

  • Bank Statements: Integrates bank statements from Kyriba into NetSuite using the native bank integration processes.

  • GL Reconciliation: Export details from NetSuite to perform reconciliations in Kyriba.

  • Foreign Exchange: Extract of life-to-date balances for assets and liabilities and import into Kyriba FX Balance Sheet for analysis and management of currency exposures.

These integration workflows leverage native NetSuite processes combined with Kyriba's advanced CaaS ERP connectors to facilitate a seamless data flow between NetSuite and Kyriba, providing a robust solution for financial management and reporting

View the Kyriba  NetSuite SuiteApp.com Listing

Or find more information in this Factsheet on the Kyriba website.