NetSuite 2026.2 introduces a rebuilt bank reconciliation workflow, a structured accounts payable payment process and enhancements across inventory, pricing and project reporting, together with several changes to integration authentication.
Annexa's Head of Solutions, Bart Wadley, has reviewed and tested the release to bring you this session covering what is new for Australian and New Zealand accounts and what it all means in practice.
Every change in the release covered in order, with context for each.
What's coming to Australian or New Zealand accounts and what isn't.
Leave with a short list of things to review in your own account.
Finance leaders, financial controllers, NetSuite administrators and operations managers responsible for how NetSuite runs day to day.
Delivered by Annexa, Australia and New Zealand's most experienced NetSuite implementation partner.
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