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Join us for complimentary one-day events around the world and step into a future fueled by AI and limitless potential. Explore new breakthroughs, sharpen your skills, and connect with experts who are shaping what’s next. Experience bold keynotes, interactive learning, and connections that span the global NetSuite community. Discover what's next at SuiteConnect Tour 2026.
Try Intelligent Payment Automation – Fee Free For Your First Month
Intelligent Payment Automation, powered by BILL (aka Bill.com), lets you automate payments, manage vendor details, and bank account information within NetSuite.
The SuiteApp is available to organizations based in the U.S. with a valid U.S. address, or to global customers (except Canada, China, and Japan) with U.S. business subsidiaries. It only supports payments to vendors operating in the United States.
For more information, visit this thread.
Intelligent Payment Automation, powered by BILL (aka Bill.com), lets you automate payments, manage vendor details, and bank account information within NetSuite.
The SuiteApp is available to organizations based in the U.S. with a valid U.S. address, or to global customers (except Canada, China, and Japan) with U.S. business subsidiaries. It only supports payments to vendors operating in the United States.
For more information, visit this thread.
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A Lump of Coal for Your Year-End Full Physical Inventory Counts
Watch out for this bug that we've just seen cropping up, courtesy of the NetSuite Grinch.
Some items in one location of an Inventory Transfer will occasionally be quasi-duplicated in NetSuite. The result is that the on hand quantities are different depending on what screen you're viewing them in. For example, current inventory status and inventory adjustment will show incorrect quantities while the inventory valuation detail and item record will show correct quantities.
To fix one of these messed up Inventory Transfers, I just clicked Edit, then Save (without making any changes).
Good luck counting!
- Miguel
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