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Re: Account Analysis subject area
Hello
Yes, I agree
Feedback I can give
- I activated Sales, Order to cash and Procure to Pay in the Data Configuraiton→NetSuite Warehouse sections
- I enabled 'Order to Cash and Procure to Pay Functional areas in the Enable Features section
- Pipeline status is active and has been running for a while
- I did a full reset and reload through pipeline settings
Above steps did not produce the desired result
John, can you please paste some screen shots and the exact steps in which things need to be done to make this magic work
Re: Global Search is not showing all items?
Add a + at the end to show inactive. You can also set your preferences to show inactive in the global search.
Home
Set preferences
Analytics tab
Re: Quote Gross Profit Calculation
Hi @Janakan
Gross Profit = Sales – Discount – Est. Extended Cost
You have a header discount of $1000 that applies to both line #1 & Line #2 and
also line discount of $500 which applies to line #2 item only.
The header discount $1000 is allocated based on item sales / total sales i.e
Line #1 Discount = 2000 / (2000 + 17500) X 1000 = 102.56
Line #2 Discount = 17500/ (2000 + 17500) X 1000 = 897.44
Gross Profit Calculation :-
Line #1 GP = 2000 - 102.56 - 1500 = 397.44
Line #2 GP = 17500 - 897.44 - 13500 = 3102.56
Regards,
Wee Ming
Wee Ming
Re: PO Creator on Bill when Bill multiple POs
Yes, the process update makes sense.
This is possible even for a list field; I do this regularly. If you want to update a list field value via scheduled workflow, the "source" non-stored field should contain the field's Internal ID, not the Field Name.
Re: Method for Specifying Accounts Payable when Approving Multiple Unapproved Expense Reports in Bulk
Hi User_GLL29
You can add multiple Approve buttons in the expense report workflow. Each of them will set the different AP account. So the approval can select the expense report that they want to assign a different AP account and select the approve action will do.
For example like below I only create 2 approve buttons. The default one will post to non-trade AP but if user select the Approve (Trade) action then the AP account will set to trade.
Regards,
Wee Ming
Wee Ming
Re: Account Analysis subject area
User_569R9 I have raised a support case from my end for the same, will keep this thread updated upon answers. Hoping to get a resolution soon.
Re: How can I make RA-Operator Password Policy available on my account?
Hi @User_DE5Y1, glad to have you with us today and thanks for posting here in the NetSuite Support Community!
Greetings, everyone! We have a fellow member who could use our assistance. Please don't hesitate to share your knowledge and insights to help them out. Your input is highly valued and appreciated!
Re: Saved Search to Project Resources when Project Status change
Hi
Thanks all for the information
I solved it by creating a Static Group and added the project resources to this group.
Downside is that if new resources are added then this group needs to be updated
Tried to create a Dynamic group but seems not to be able to retrieve the resources + email from the project.
Will try to look into this later to try to figure it out also the use of a Workflow.
Regards
Glenn
Re: Custom transaction(sales debit note) doesn't have credit note option
Hi Mauricio Solís,
Thanks, got the solution. Able to configure the different document numbering also.
Re: Block inactivate action
Hi User_25U51,
Another way if you only to allow selective users or roles who can create and update item to update the inactive field, you can create a workflow to set the inactive field display type to disable on entry except for authorised user/roles.
Here is an example of workflow action :-
Regards,
Wee Ming
Wee Ming







