
AUTOMATE BANK FEEDS
NetSuite Bank Feed
Manual statement handling drains hours and delays month close. Teams log in to each portal, rename files, then upload them into NetSuite. Typos creep in, cash positions drift, and auditors flag gaps.
An automated bank feed removes that burden. Statements land in NetSuite each morning through secure SFTP. File formats BAI2, CAMT053, MT940, and CSV arrive already mapped to the correct ledger lines. Finance teams start work with fresh data instead of admin tasks.
Outgoing payments improve at the same time. NetSuite generates ABA, SEPA, or custom files, encrypts them with PGP, then pushes them back to the bank over the same SFTP channel. Approval workflows inside NetSuite hold every file until authorised, so control stays tight. Subsidiaries run side by side. Each maps to its own clearing account, yet shares one integration framework. If a bank changes layout, monitoring alerts fire and support patches the map before files fail.
The result is a true daily cash view, faster reconciliation, and clean audit trails.
NetSuite Bank Feed Integration
Connect NetSuite to NAB, CBA, ANZ, Westpac, HSBC and Citibank with automated files and secure payment delivery.






CUSTOM NETSUITE BANK FEED INTEGRATION
Streamline Your Banking and Financial Operations
Does your accounts processing need a boost?
The OneKloudX custom-built NetSuite bank feed integrations are tailored to the needs of mid-sized and enterprise Australian businesses.
Whether you are integrating with NAB, CBA, ANZ, Westpac, HSBC, or international banks like Citibank, our proven integration frameworks and reusable components accelerate time-to-value while ensuring compliance, security, and scalability.
All OneKloudX integrations are built to meet bank-grade security standards, including:
- SSH + PGP encryption
- Audit trail compliance
- Custom approval workflows for payment authorisation
- Support for NetSuite’s Bank Connectivity SuiteApps (ABSI, Bank Parser)