Simple, Transparent Pricing
Scale your automation as you grow. No hidden fees, just straightforward plans built for finance teams.
Growth
For emerging teams.
$499
/mo
- check 1,000 transactions
- check 2 ERP integrations
- check Standard Mapping
- check Email Support
Most Popular
Professional
For scaling finance teams.
$1,250
/mo
- check Unlimited transactions
- check Multi-entity management
- check Advanced Audit Logging
- check Priority Support
- check Custom Reports
Enterprise
For global operations.
Custom
- check Unlimited Entities
- check Dedicated Account Manager
- check Custom Security Reviews
- check SSO & SAML Integration
Frequently Asked Questions
How does Meridian connect to NetSuite?
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Meridian generates NetSuite-compatible CSV files that can be imported directly into your NetSuite instance. Each file follows the standard journal entry import format with proper account codes, departments, locations, and subsidiary information already mapped.
What file formats are supported?
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Meridian accepts Excel (.xlsx) files for billing exports and bank deposits, and CSV files for payroll data. The system automatically detects the file structure and validates it against your configured mappings before processing.
Can I reprocess a previous period?
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Yes. Every processing run is tracked with full audit history. You can reprocess any fiscal period at any time using the --force flag or through the web portal. The system maintains a complete record of all previous runs for audit purposes.
How are fiscal periods handled?
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Meridian supports a custom 13-period fiscal calendar with 4-5 week cycles running from late December to late December. Transaction dates are validated against the calendar, and journal entry dates automatically use the period end date. The calendar is fully configurable through the mappings file.
Ready to automate your journal entries?
Eliminate manual data wrangling and get NetSuite-ready files in minutes.