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I don't think you're going to find a Netsuite Native solution for printing single transaction checks on the same check run. Pay Bills is a tool that allows for efficiency in paying bills by grouping them together into batches- the reverse of your goal. Your options here are to use 'Pay single Vendor' and choose a single…
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Hi Natalie, If you credited the Invoice in full, then your items should be returned to inventory, correct? If so, there is an option under on the Sales Order called 'Make Copy'. Simply make a copy of the SO, then run through the fulfillment process again, Invoice, and voila. Let me know if the items are not back in your…
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Thanks, I think I was overcomplicating this trying to use the Use Credit Card functionality. Just out of curiousity - what's a scenario for using that functionality? The credit card functionality is actually rather cool, at least I think so. You can use the a/p process as you would as though paying by check. If your credit…
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yes, Jim, makes perfect sense to me now (scary as that is)... when you put it into accounting scenario, it is doable, although not sure of the scripting part - I still see that as some weird foreign language...:D this kind of challenge is right up my alley....I am sure that if I can design it, you can script it. the whole…
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Is there a way to be able to add the expense tab to a PO much like the Expense and Item tabs are in a Bill? This would be the ideal format in which people would be entering PO's for my purposes. There sure is- Go to setup-accounting-accounting preferences-order management tab Down the page a bit you will see an area…
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uhhh ok, lets think about this- a JE is associated with the accounting side, an IE for items. I am not aware of any way to directly associate a JE to an item, customization or otherwise, because they work on totally different levels, as I understand. An item can only be associated with a transaction (IE is a type of…
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Hi Jim, try doing this with an inventory adjustment. Seems to do the trick. ;)
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k sunshine, think I am on to something - but I need a couple of things clarified: #1) one transaction with a 'rebate', or one 'rebate' per line item? (one rebate per line item is actually easier) I am assuming that sales taxes and shipping are not included in the gross total needed for the 'rebate'. #2) I can get you as…
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If you can see the results of the problem, you can reverse engineer it a bit. Once you find an example, go into the payment receipt, and click on the tab labeled 'History' then 'system notes' You should be able to see exactly who set the account incorrectly.
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If we enter an invoice using Enter Bills and then we pay it via a wire transfer how do we record the wire transfer in NetSuite and how do we get the invoice marked as paid in NS and out ofthe Pay Bils screen? Follow the bill through the payment cycle as you normally would, but pay individual vendors, and use the wire…
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If the card fails, will it suffice to send a manual e-mail from the transaction, either using a template or detailed message?
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Hello Carrie, It sounds like you have some settings turned on that are allowing you more flexibility than you want. I suspect you have advanced receiving turned on- If you go to setup-accounting-accounting preferences-order management, down on the page you will see preferences regarding receiving. Make certain the box that…
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Angela, Not really, let me give you more info. - I have roughly 1000 customers, each being billed monthly for services rendered. - Each customer has a nominated date in which their account is to be billed, a fairly even spread. - The script runs nightly, asking for customers to be billed, and for a sales order to have been…
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retracted by user
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Hi! While in the edit mode of a transaction form (custom), click the Move Items Between Subtabs. The Move Entry Form Items page will now appear. Under the Lists Tab>Sales subtab, select General subtab for Transactions. Save the preference, click show under for transactions (now under Lists Tab>General subtab) then save the…
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I have already come up with a solution for applying the payment, although I would appreciate a JE suggestion since my method may not have been the best way to handle it. ask and you shall receive ;) (Make sure you list the name at column level) store A-debit A/P the amount for the other stores Store B - credit the amount…
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We have a customer that has a large number of retail stores. Althougth they have centralized their accounting (we receive checks that inlcude payments for multiple stores) we do not have them set up in a parent-child relationship because the individual stores do not want to see statements and aging summaries that includes…
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Maybe a simple answer is to use your invoice number as a reference or memo on the PO you are billing. Then you can track what invoice payment you are applying to what bill....... yep- you can also take this a bit further and customize a field sourcing whatever info is needed to match these- either on the PO, payment, etc.…
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Checks, Bill Payments, and other bank impacting transactions are independent from Bank Reconciliations. What I mean by that is that the Bank reconciliation recognizes the transactions as objects impacting the bank account, but the reconciliation is not referenced anywhere on the transaction itself. This is why the clearing…
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when you say 'bulk billing' i guess you're referring to the 'bill sales orders' part of the process? well, I am referring to the bill sales order in list format, where you bill more than one order at a time.
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Great Stuff! Thanks Angela! I like this from the accounting perspective, though not my strength. I may reply with questions on details in the next day or so, but this gets me started...Thanks!!! bobkerr anytime. glad I could help. even a broken clock is right twice a day. ;)
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Tha would depend upon what your goal is. Are you looking to bring in old credit balances from a different system, or manage these ongoing- two different goals-
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We're looking for a way to assign a customer credit to a specific customers, but we do not use A/R. The reasons we need this are for clients with outstanding credits from our older management system, as well as possibly allowing for Return Authorizations for Credit. I'm a little confused as to: A) How to accomplish this.…
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If you have some clients that prefer e-mails, you can easily create a custom field, then filter by that in your invoicing process. It can be as simple as a check box that says 'e-mail transactions' or something like that, so individual orders can be dealt with, or you can go a bit further and create the filters for your…
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I like the idea of deleting and then making payment, as it is the most "self documenting" vs. JE's. This will probably work well for the physical checks that we wrote and entered into NS with "Write Checks". However, many of the "checks written" were Online Bill Pay's and I didn't see the Delete option when I edited them,…
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yep, that's what i meant. Thanks! Did you understand what I was talking about, in general? got your problem licked?
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Is there any kind of update to these issues, or cases? I am still waiting for a Reply, of any kind.
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I am going to attach myself to this. I am looking at some issue with online bill pay, and it is wrecking havoc in this account. Allow me to explain. Issue 130311 case #612788. The bank account used for online bill pay was changed from one bank to another. All steps were followed, and NS reflects the correct bank account…
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Cecelia, I believe your issue is within your approach. What you are calling a discount off per case for a whole sale promotion can also be called quantity pricing. The only real difference between the intent of the two is the time frame, I believe. It may not fit what you want perfectly, but I am relatively certain that it…
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when you are in the invoice, doesn't it show the 'approve return' field, to issue an RMA directly off of the invoice itself?