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Re: AskAGuruLive with Jervin about SuiteBuilder (April 22, 2026)
Thank you for joining our session! I’m currently verifying this on my end. Let me create a thread on your behalf, and I’ll be happy to continue the conversation and share updates there.
AskAGuruLive with Jervin about SuiteBuilder (April 22, 2026)
Greetings, everyone!
This is Jervin, one of your SuiteBuilder Gurus here in the NetSuite Support Community. 😊 I will be live today to answer your questions from 1 PM to 2 PM ET.
Before we start, here are some of our house rules:
- Post your questions by commenting below. 1 comment = 1 question.
- Some questions may be complex so I would appreciate your patience as I look into it.
- Let me know if the solution works for you or not. That way, I can check again.
You can also ask some non-NetSuite-related questions about me such as my hobbies and interests and I'll be happy to answer them.
Make sure to stick around as well, since I will be posting some useful tips and tricks before our time is up!
I would also like to greet the following members who have RSVP'd for today's session:
@Robert Nedelkow-Oracle @jb123 @Shrey Tandon @Divya Unnikrishnan @Sakshi_Garg @Damian C
Ask An Expert Live session on NetSuite Reports happening tomorrow!
There’s still time to RSVP and join our Ask An Expert Live session on NetSuite Reports happening tomorrow!
Don’t miss this great opportunity to ask your NetSuite questions and learn directly from one of our experts!
Re: How to enable ACH in Netsuite?
Glad to hear that, @User_ZA0IY! I'll have it documented here in the NetSuite Support Community.
Re: NSAW - Connect to shipping address
In NSAW, the field NKEY is a surrogate key generated within the warehouse. It does not directly correspond to the Source Record ID from NetSuite, which is why joining on Source Record ID would not return matching results.
For tables like DW_NS_TRANSACTIONSHIPPINGADDRESS, the NKEY is intended for internal joins within NSAW, typically linking to related fact or dimension tables using warehouse-generated keys rather than source system IDs.
To properly connect shipping address data to transactions, you would usually:
- Identify the corresponding foreign key in the transaction fact table (e.g., shipping address key)
- Join using the NSAW surrogate keys (NKEY or related keys) instead of Source Record ID
For more details on NSAW data modeling and structure, you may refer to:
- Oracle Documentation (NSAW Overview & Admin Guide): https://docs.oracle.com/en/cloud/saas/netsuite-analytics-warehouse/nsawa/
- Oracle Analytics / Data Modeling Concepts (surrogate keys & warehouse modeling): https://docs.oracle.com/en/cloud/paas/analytics-cloud/
Regards
Re: Custom Role for Claude Pro AI connect to NetSuite
Thank you for suggestions, I will review the articles
Appreciate sharing the links!
Re: How to enable ACH in Netsuite?
Hi, @Bry Cabria-Oracle, Yes, I was using a custom role. The issue was resolved after adjusting the permissions.
Thank you for your help!
The NetSuite documentation on ACH doesn't clearly mention the requirement for Automated Clearing House permissions, which can be confusing.
Re: Native NetSuite Automated Cash Application
Customer Mapping Rules are created when you manually select a customer for a bank line, and NetSuite stores the association based on the Payor and Memo values from that line. Best practice is to create rules only when those values are consistent and uniquely identify a customer. If the same Payor or Memo text is used by multiple customers, it’s best not to create a mapping rule, as NetSuite does a direct comparison and may resolve the bank line to the wrong customer on future imports.
Hope this helps
Re: Sweden localisation - Cash allocation
HI @Judith Culanding-Oracle Thanks for your reply to confirm there is no localisation pack for OCR number based ACA. I will wait to see if there any other responses for an alternative solution for this requirement.
Re: New NetSuite Certifications
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