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Whether you’re looking for product updates, practical tips, new ways to improve efficiency, or insights from other customers, SuiteWorld offers something for every stage of your NetSuite journey.
Discover new innovations across NetSuite with 2026 Release 2
■ NetSuite 2026.2 Release Notes
■ NetSuite SuiteApps Release Notes
■ NetSuite Sneak Peeks
■ Release Preview Guide
■ Release Preview Test Plan Template
■ NetSuite 2026.2 Release Notes
■ NetSuite SuiteApps Release Notes
■ NetSuite Sneak Peeks
■ Release Preview Guide
■ Release Preview Test Plan Template
Action Required: Review and submit pending reconciliation matches before the NetSuite upgrade to avoid rework. After 26.2, unsubmitted matches will be unmatched. For more details, see SuiteAnswers 1047397
Our vendor issued a refund check and we can't get it out of the bill pay screen
Our vendor issued a refund check and we followed the instructions in the NS user guide to deposit the check and associate the deposit with the vendor credit. The vendor credit continues to show up in the bill pay screen as a negative -325.00 "Bill Credit". We have tried to check the box and process it as well as redo the accociation.
How do we remove "Bill credit" from the bill pay screen?
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