Rockwood Solutions — NetSuite Bank Operations & Financial Automation
NetSuite bank operations & financial automation

You'll know everyone who touches your account.

The same people from your first call to your renewal — senior attention across the whole engagement, not just the sales call. Implementations, managed services, health checks and custom development.

Selected work

Some of what we've built

Each of these started the same way: a finance team with a real process, and a platform that covered most of it but not the part that mattered.

Services

What we do the rest of the time

The custom work gets the attention, but most engagements are ordinary NetSuite consulting, done properly.

01

Implementations

Scoped around how your business actually runs, with a go-live plan that accounts for the work continuing while you go live.

02

Managed services

A named consultant, a standing SLA, and a quarterly release-readiness review — so the features you're already paying Oracle for actually get turned on, not just someone to call when something breaks at close.

03

Health checks

A read of your configuration, customizations and processes, and a straight answer about what's worth fixing first.

04

Custom development

SuiteScript, Suitelets, map/reduce jobs, bank and payment file formats. The work above started here.

Our product

BankSync

Your bank feed already lands in NetSuite. Somebody still has to decide what each line is and post it. BankSync reads the day's bank activity, matches it, and posts the journals, customer payments, sweeps and fees, with a review queue for anything it isn't sure about.

Automatic GL posting Cash application Review queue Audit trail Multi-account
Prior-day statement files$600 / month
Real-time bank API$900 / month
Additional institutions$150 / month each
First institutionIncluded, unlimited accounts
Explore BankSync
About

Who you'd be working with

Rockwood Solutions works with finance teams on NetSuite: implementations, ongoing managed services, health checks, and the custom development that most consultancies hand off to somebody else.

The custom development is what most of it comes down to. When a process doesn't fit the platform, the usual answers are to change the process or buy an add-on. Sometimes those are right. Often it's better to build the missing piece properly, inside your own account, where you own it.

We work across oil & gas, manufacturing and professional services, mostly with teams running OneWorld and multiple subsidiaries.

If you've been told NetSuite can't do something, it's worth a second opinion. Often it can. It just needs someone willing to build it.
Product
BankSync — bank activity read and posted in NetSuite, daily
What we work on most
Electronic payments, bank reconciliation, intercompany and multi-subsidiary accounting
Built with
SuiteScript 2.1, Suitelets, map/reduce, SDF account customization
Based in
United States, working remotely with clients nationwide
Get in touch

Tell us what you're trying to do

An implementation, a health check, an awkward bank format, or a process currently held together by a spreadsheet. Describe it and we'll tell you whether it's worth building and roughly what it would take.

Or email directly: sales@rockwoodsolutions.com