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Comments
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The base price level will always default if the price level is not set on the customer level. If you have renamed the base price, look for the price level (setup>accounting> accounting lists>price level) with the internal id = 1 ~angela
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Yes, you can search suiteanswers for the solution. Note that it will be a saved search that you will create, not an actual report. SuiteAnser 1011618 has a video that will show you how to do this. ~angela
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When using multi currency transactions, you have several elements. These elements roll up to drive reporting for financials on a monthly basis. There are 2 different integrated exchange rate possibilities that you can choose. HSBC or Xignite. You can use different currency rates on the transactions, but when reporting, you…
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By design, a check is different than a bill payment. Bill payments have the ability to be set to 'default to print' where a check is a direct posting transactions. Usually, checks are the exception - written only when a bill is not entered. As there is a native 'approval process' on vendor bills, and then 'Pay bills' has…
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Hello G, You won't be able to customize the summary report, as the summary won't include the detailed document numbers with amounts. Summary - by default - is the vendors with total due within the buckets. What you can do is recreate the AP Aging with a saved search. SuiteAnswer 72814 Scenario User wants to create a Saved…
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Ouch. Sorry I can't help you. I'm not sure that you can ever make that go away. ~angela
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I can't help you with a search, but You can always go to print multiple BOM's, and choose 'all items fully committed' option. It will only show the BOM's that can be built. Just a thought. ~angela
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System notes on all records within NetSuite are driven by the employee record. I'm not sure what 'Personal Information' you'd like removed, but the option to hide the 'notes' subtab will remove the system notes from being seen. Note that accounting may not like you removing them. Just a thought. ~angela
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Contact your NetSuite account rep, and ask that your support tickets be escalated immediately. What you are describing is a critical issue. Sorry I don't have anything to assist. ~angela
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You can update this field easily - export a list of your items by type, with the description field. Then import them with the stock description mapped to the exported description - and voila! In your original question, you also asked if multiple BOMS can be selected to print. The answer is yes- navigate to 'Print Checks…
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History is a relative statement. If your history includes detailed transactions, the volume of transactions will drive the effort. SuiteSuccess is a fantastic tool. To implement, usually you will need historical trial balances (activity for each month), and on your opening numbers, the value of AP, AR and Inventory will…
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On the item records, the 'description' field that drives the BOM is 'stock description'. If you don't have this defined on the Assembly Components, it won't print on the BOM. ~angela
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It's hard to know what you are looking for - as there are many things that could apply. Without understanding how the system was configured, this is a pretty open ended question. ~angela
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If you're holding the items as inventory, then an inventory adjustment would work.
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I don't believe there is an audit trail for that. As the bank reconciliation list shows all bank reconciliations, the 'delete' button on the left of the bank rec's doesn't pop up a window for the user to enter a deletion reason. Also, a bank reconciliation isn't a true 'transaction' - and there are not system notes on the…
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If you're using average costing, your costing engine will 'recalculate'. Inventory worksheets actually trigger the average costing engine to reset the calculations. If you're creating vendor bills after resetting the value of items using an inventory worksheet, you will not balance back to the values you have set on the…
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Edward- If you check the box to see 'in progress work orders' all 'in progress' work orders will show, including the original quantity and the quantity built:
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Sadly, the perspective is that if it can be done in an 'acceptable' way where costs vary depending upon which partner you choose, it 'can be done' - for a price. The price may be exceptionally high, but it's available, and the 'need' is met. Solutions are valuable, and in today's world, value is everything. ~angela
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There is no 'data migration' tool that can configure a new instance of NetSuite, and migrate data automatically. It will be a new instance, with a new implementation. History will not be available. As you cannot 'replicate' an account (except clone it for a sandbox), you will have to purchase a brand new instance. You can…
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As far as can you 'carve out' a subsidiary and sell it to a different company, this is possible, and rather common. Here is the process: Purchase a new instance of NetSuite. Configure the new NetSuite account Migrate data specific to that subsidiary. (Customers, vendors, items, etc) Load opening balances (the closing…
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Work Order Close is an actual record. When the work order is marked as closed, there is a GL impact that clears the WIP accounts and posts to the new item value, depending on your costing method used.
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I would agree. I really recommend that you try working with some reports to get what you need. As far as submitting a bug request, I don't know if they can do that from this forum. I could be mistaken. ~angela
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OK. You are using the NetSuite payroll module, correct? I'll go do some testing and see what I can find out for you. ~angela
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In further testing, you're correct. The default status will always be available. Might want to look into a script for this requirement, if you don't want it manually entered. ~angela
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Hi Jason, You're correct, my apologies. When using reports, you can choose the class by hierarchy, not in searches. Again - sorry about that. ~angela
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Ah! Yes, when using work order WIP & Routing, there is a step required of creating a work order close record. These types of work orders must be closed, they are not marked as built. ~angela
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I'm a little confused with your question. Work Orders, by default, don't have a 'pending approval' status. You may have a customization in place that shows this as a status. Work Orders, when fully built using Assembly builds, will default the status to built. This is native behavior. Hence why I suspect that you have a…
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Lot numbering costing method allows each lot you create/receive to have the specific cost of that lot assigned. It is not the same as 'FIFO' costing. When using FIFO costing the oldest cost for the item will be used. From NetSuite help: If you use Advanced Receiving, LIFO/FIFO costing occurs at the time of item receipt.…
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Did you try removing the criteria for class on your search, and only using the filter?
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I don't believe that you can create a WMS system rule to set the item status. This is a process step performed by the users receiving the items. What you can do is set a WMS rule to 'Stage' items prior to putaway. If you set this up, the 'staging' bin will have all items within it, and the transfer of the items will be…