NetCash Configure Permissions

Overview

This article outlines the required and optional permission configurations available in NetClose. Before configuring any permissions, the NetCash SuiteApp must be installed in the NetSuite instance. Please see the articles linked below for more detailed walkthroughs.

Step-by-Step Process

Assign NetCash User Access (Required)

To enable access to the NetCash application, each user must be designated as a NetCash User.

  • Navigate to Setup > Users/Roles > Manage Users.
  • Locate and open the employee record, then select Edit.

  • In the NetCash subtab, set the NetCash User Type to Full.

  • Click Save.

Grant NetCash Administrator Role (Optional)

For those needing administrative access, you can assign the NetCash Administrator role. 

  • Navigate to Setup > Users/Roles > Manage Users.
  • Locate and open the employee record, then select Edit.
  • On the employee record, go to the Access subtab.
  • Add the NetCash Administrator role.

  • Click Save.

NetCash Granular Permissions Guide

Access to NetCash features is permission-based and tied to specific record types. The table below outlines the required permissions for each page within NetCash. To update roles, see Updating Roles below.

PermissionDescription
NetCash Bank AccountGrants access to the custom bank account record linked to bank institutions. Typically required during initial setup and primarily used for administrator-level tasks.  
NetCash Automation RuleProvides access to bank automation rules. Typically required during initial setup.
NetCash Automation Rule GroupGrants access to automation rule groups. Typically required during initial setup.
NetCash Bank InstitutionProvides access to the Bank Connect page and the bank institution record. Typically required during initial setup.
NetCash Match GroupAllows visibility into the underlying native bank matching group, which isn’t accessible through the UI. Access is generally not necessary.
NetCash Match ItemProvides access to review bank-to-transaction matches, including auto-matched transactions requiring approval, manual matches, and approved transactions. Essential for ongoing bank reconciliations.
NetCash Matching CriteriaProvides visibility into the underlying native bank matching criteria, which isn’t available through the UI. This access is generally not necessary.
NetCash Bank TransactionProvides access to view bank transaction records. Required for ongoing bank reconciliations.
NetCash CommentGrants access to NetCash comments. Necessary for ongoing bank reconciliations.
NetCash Global SettingsAllows updating of NetCash global settings. Typically required during setup and primarily for administrator-level tasks. To access the Global Settings, a user will also need the Enable Features NetSuite permission. This can be found under Permissions > Setup > Enable Features of each Role in NetSuite. 
NetCash ReconciliationProvides access to the NetCash Reconciliation page. Required for reporting availability.
NetCash Automation Rule FilterProvides visibility into the underlying native rule filters not accessible through the UI. Access is generally not necessary.
NetCash Transaction TemplateProvides visibility into the underlying native rule transaction template not accessible through the UI. Access is generally not necessary.
NetCash Transaction Template LineProvides access to the underlying native rule transaction template lines not visible through the UI. Access is generally not necessary.
NetCash ImportGrants access to the NetCash Bank Activity import page for manually uploading bank transactions.
NetCash Import TemplateProvides access to NetCash Bank Activity import templates.
NetCash Journal EntryProvides access to NetCash Journal Entries if using custom transaction types.
NetCash TransferProvides access to NetCash Transfer Entries if using custom transaction types.

Updating Role Permissions (Required)

To add or edit permissions on individual role records directly, follow the steps below.

  1. Navigate to the role record via Setup > Users/Roles > Manage Roles
  2. Select Edit on the role.
  3. On the Permissions subtab > go to Transactions or Custom Records.
  4. Add or edit the desired permission.
  5. Click Save.



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