Best Of
Re: Electronic Bank Payment PSG Shared bundle not found?
You're welcome, @Vanessa_! 😊
Re: Electronic Bank Payment PSG Shared bundle not found?
Thank you @Elychelle Gulen-Oracle . I appreciate your quick response! The bundle still does not appear, so I opened a case to see if they can share it with the account. Thank you again!
Vanessa_
Re: Where is the customization for this field from the Warranty and Repairs SuiteApp?
Hello Dext3r,
Thank you for the insights. Let me check if there is an Enhancement Request for this.
Best Regards,
Lyka
Re: Where is the customization for this field from the Warranty and Repairs SuiteApp?
Hello, everyone! We invite you to join the conversation and share your valuable insights with us.
In the meantime, you might be interested in participating in our Weekly Quiz. You only have until May 2, 2PM ET to comment on your answers and earn rewards! Click here for more details.
AE:Term Translations
Hello,
Is it possibility to add translations to the Terms? (Setup > Accounting > Accounting Lists > New > Term) Within that window, there is no 'Translation' tab?
Re: How to copy complete data from one NS account to another
Hi @_Naresh_-Oracle ,
Did you manage by any chance to check previous message sent by our SuiteMaster member Angela Bayliss?
Indeed, the purpose of the Sandbox refresh is to get updated data from the production account and will erase previous content that was created before the refresh. You can work with more than one sandbox account as an alternate solution. Otherwise, data import and account reconfiguration are the only options. Let me know if you need more assistance related to these topics.
Best regards.
Re: My Workflow set field value is not working?
Hello @Meherin,
Good day and thank you for posting this new thread!
Hello everyone! We'd greatly appreciate your support in this matter.
Re: Aging of Customer Opening Balances
Thanks for confirming. And I also noticed your comments in responding to @Jeremy Guimaras -Oracle.
My immediate thought is that how payment will be received/made against if there were no open transactions?
When we migrated our system, we faced similar dilemma, but we decided that importing open transactions is the way to do. For one thing it will eliminate the aging issue. And below is how we dealt with the volume of line items.
All transactions just would just contain one line : Opening Balance (non-Inventory part for sale on invoice and on-inventory part for purchase on vendor bill). The G/L impact of an open invoice would look something like below:
The accumulated amount of all open transactions should equal the opening balance of A/R or A/P, respectively.
On go-live date, we created a journal entry to clear our the opening balance G/L account. Again using A/R as an example, below is what the JE looks like:
We believe this way it would preserve the financial records while greatly reduce the burden for importing transaction line details.
Just wanted to share my past experience and provide some ideas.
Re: Is it possible to create a custom field/record under the address record?
Thanks again @Pierre_Plourde ! Appreciate the help.
Re: Company Acquisition Challenges in Netsuite
Hey @Avinash A,
Every NetSuite Implementation is unique and has its unique challenges.
I recommend doing an implementation listing detailed business requirements rather than attempting a SuiteSuccess implementation, which rarely works as expected.
It is also crucial to have Standard Operating Procedures for each key function to ensure NetSuite features can be correctly and efficiently mapped to the business requirements.










