Bank Automation with Bulut Tahsilat

Bank Automation with Bulut Tahsilat

Developed in partnership between Novacon and Bulut Tahsilat, this solution automates NetSuite users’ banking and collection processes from start to finish. It eliminates the time finance teams spend on different banking screens, POS reports, and manual reconciliation processes.
All bank transactions, collections, and POS transactions are securely transferred to NetSuite via the Bulut Tahsilat infrastructure and managed from a single platform.

Thanks to this integration, NetSuite becomes more than just an accounting or ERP system; it becomes the hub for banking, collection, and payment processes. Finance teams monitor all cash flow with real-time, accurate data, generate error-free reports, and are freed from operational burdens.

What does it do?

It connects the Bulut Tahsilat infrastructure to NetSuite, automating all collection, payment, and transfer processes.
It matches customer and supplier accounts with NetSuite records and regularly synchronizes bank transactions.
It provides a simple and clear reconciliation screen where all transactions can be tracked.
It reduces the workload of finance teams by eliminating manual data entry and human-caused errors.
For companies using the Bulut Tahsilat POS infrastructure, it transfers POS transactions directly to NetSuite and facilitates collection tracking.

Key Features 

  • Full integration with Bulut Tahsilat
    All bank accounts and POS transactions are securely transferred to NetSuite via Bulut Tahsilat.

  • Automated reconciliation management
    Collection and payment transactions are automatically matched by the system, reducing the need for manual control.

  • Daily data updates
    Bank and POS transactions are synchronized daily, ensuring access to up-to-date financial data at all times.

  • Financial visibility from a single screen
    Bank, collection, and POS transactions can be monitored from a single point within NetSuite.

  • Time and resource savings
    The burden of manual processing and reporting is eliminated, allowing teams to focus on more strategic tasks.

Benefits

  • Centralized access to all bank and POS transactions within NetSuite

  • Full control and transparency in financial processes

  • Speed and accuracy in reconciliation processes

  • Secure data transfer with Bulut Tahsilat assurance

  • Increased operational efficiency in collection processes

With Bulut Tahsilat integration, NetSuite users manage bank and POS transactions directly within the ERP, not across different platforms.
It provides simpler processes for finance teams, clearer reports for managers, and stronger cash management for companies.

More integrated. More secure. Faster financial management.