Unify operations and cash visibility. Zone builds on NetSuite to automate AP, payments, treasury, and reporting so retailers close faster, reduce manual work, and see cash and margins clearly by channel.












Stores, e‑commerce, and marketplaces move fast – and it can be a challenge for finance to keep up. Manual AP, payments, and bank data slows down the finance team when they must reconcile NetSuite by hand. Finance can’t quickly show where profit is made, leaked, or at risk.
Zone gives retail finance a single system of truth

Run omnichannel billing directly in NetSuite so store, e-commerce and marketplace activity flows through cleanly, reducing manual fixes and accelerating cash.
Run procure-to-pay inside NetSuite, including vendor payments. AP teams accelerate processing, reduce errors, and keep inventory and purchasing aligned as volume shifts.
Manage cash reconciliation centrally inside NetSuite so retail finance teams see their true cash position across stores and channels.
Use NetSuite as the system of record for retail reporting. Finance teams see margin by store and channel and explain performance with confidence, without stitching data together.
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“I can’t get over how easy it is to add and map new bank accounts. Each time we expand into a new territory, there is a lot of admin - [let alone] setting up a bank account. With ZoneReconcile, the process is so straightforward that we can manage it easily in-house, and everything just works within the new subsidiary. It’s a real game changer to not even have to think about this as we grow.”
“We went from 2:30 minutes per invoice down to about 45 seconds. For our company when you’re looking at 8,000 invoices per month, you add up all that time and we’ve just saved a ton of time for our company.”
Start a conversation with an expert who asks thoughtful questions and shows you how Zone & Co can solve your unique problem.