HighRadius plugs directly into NetSuite via pre-built API integrations, pulling GL, AR/AP, and cash data automatically, and posting approved journals back, so every reconciliation action taken in HighRadius is instantly reflected in NetSuite
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Faster reconciliation, shorter close cycles, and full audit readiness, engineered for NetSuite environments.
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Get The ReportHighRadius handles every step your team currently manually, pulling GL balances from NetSuite, matching transactions, surfacing exceptions, and posting approved journals back, all without a spreadsheet in sight.
As your NetSuite environment grows across subsidiaries, entities, and currencies, so does reconciliation complexity. Here's how HighRadius ensures your GL, bank, and subledger data stays continuously aligned, without manual consolidation.
GL, AR/AP, Cash, and journal data flows both ways between NetSuite and HighRadius in real time. Every reconciliation action, journal approval, and GL adjustment made in HighRadius is instantly reflected in NetSuite. No dual entry, no reconciliation between your reconciliation tool and your ERP.
Close cycles run on tight deadlines across multiple periods and subsidiaries. HighRadius syncs on your schedule, hourly, daily, or triggered on-demand, so your GL data is never a day behind when controllers need to sign off.
NetSuite's multi-subsidiary architecture means reconciliation data can fragment quickly across entities and currencies. HighRadius consolidates it, giving CFOs and controllers a single live reconciliation view across every NetSuite instance, without a manual consolidation run.
Running multiple ERPs? HighRadius connects to all of them. Pre-built, certified connectors mean
faster deployment and fewer integration headaches.
Automate reconciliations, eliminate exceptions, & deliver audit-ready financials with Agentic AI for accounting.
Book A Discovery CallHighRadius connects to NetSuite via pre-built, API-based integrations that pull GL balances, AR/AP subledger data, and Cash GL line items directly from NetSuite. Once reconciliation is complete, approved adjustment journals are automatically posted back to NetSuite, ensuring your ERP always reflects the reconciled position without manual intervention.
HighRadius works alongside NetSuite, not instead of it. NetSuite remains your system of record. HighRadius adds an AI-powered reconciliation and close automation layer on top, automating the matching, variance detection, accrual calculations, and journal posting that NetSuite doesn’t do natively.
HighRadius automates bank reconciliation (Cash GL vs bank statements), balance sheet reconciliation (prepaid expenses, fixed assets, allowances), daily revenue reconciliation (POS, credit card, franchise), and intercompany reconciliation, all connected directly to NetSuite GL and subledger data.
HighRadius achieves a 90% transaction auto-match rate for balance sheet reconciliation and up to 95% for daily revenue reconciliation. This is driven by AI-powered rule discovery that learns from your NetSuite transaction history, continuously improving match rates over time.
Most NetSuite customers are live within 6 months. HighRadius uses pre-built NetSuite connectors that eliminate the need for custom development, reducing implementation complexity and time-to-value significantly compared to traditional enterprise software deployments.
HighRadius automates 50% of close tasks for NetSuite users, including close checklists, accrual calculations, variance analysis, and journal posting. The result is a 30% reduction in days to close, 100% SOX checklist compliance, and full audit readiness, all with journals posted back to NetSuite upon approval.
Yes. HighRadius is built for enterprise-scale NetSuite environments with multiple subsidiaries, currencies, and entities. The intercompany reconciliation module automates AR/AP matching across entities and handles multi-currency conversion, with all eliminations and journals synced back to your NetSuite consolidation structure.
Yes. HighRadius handles both. The balance sheet reconciliation module automates NetSuite bank reconciliation (Cash GL vs bank statement matching), while the broader account reconciliation suite covers all balance sheet heads, prepaid expenses, fixed assets, allowances, and more, with 100% GL accounts coverage.