Discussions
Check out Oracle NetSuite upcoming events and conferences here
Now is the time to ask your NetSuite-savvy friends and colleagues to join the NetSuite Support Community! Refer now! Click here to watch and learn more!
Update your Profile with your Support type to get your Support Type badge.
Expand your NetSuite knowledge by joining our Ask A Guru Live sessions. RSVP on this event now.
Get ready to take on exciting new challenges and become the next SuiteMaster of the Month!
Unleash the Power of AI with NetSuite's Intelligent Recommendations
Don't miss out on the opportunity to boost sales and customer satisfaction. Elevate your business with NetSuite's Intelligent Recommendations.
Don't miss out on the opportunity to boost sales and customer satisfaction. Elevate your business with NetSuite's Intelligent Recommendations.
Our service partner for bank feeds integration in U.S. and Canada will undergo two (2) hours of planned maintenance on November 3 - 4, 2024.
Please be advised that our authorized Account Integration Service Provider for the NetSuite Bank Feeds SuiteApp will undergo approximately two hours planned outage. Standard maintenance will take place to perform a database upgrade.
The schedule of the planned outage is on Sunday, 3 November 2024, from 10:30 p.m. Pacific Time to 12:30 a.m. Pacific Time, Monday, 4 November 2024.
During the maintenance window, all connections and import requests to your financial institutions in the United States and Canada through the Bank Feeds SuiteApp will be unavailable. If you try to connect a new U.S. or Canada financial institution to NetSuite or manually initiate an import request, you will receive an error message.
To view the most recent bank feeds maintenance schedule, see Bank Feeds SuiteApp Maintenance Schedule, SuiteAnswers ID 94347.
Please be advised that our authorized Account Integration Service Provider for the NetSuite Bank Feeds SuiteApp will undergo approximately two hours planned outage. Standard maintenance will take place to perform a database upgrade.
The schedule of the planned outage is on Sunday, 3 November 2024, from 10:30 p.m. Pacific Time to 12:30 a.m. Pacific Time, Monday, 4 November 2024.
During the maintenance window, all connections and import requests to your financial institutions in the United States and Canada through the Bank Feeds SuiteApp will be unavailable. If you try to connect a new U.S. or Canada financial institution to NetSuite or manually initiate an import request, you will receive an error message.
To view the most recent bank feeds maintenance schedule, see Bank Feeds SuiteApp Maintenance Schedule, SuiteAnswers ID 94347.
NSC | How To Show Bills Only On Bill Payment Page?
Scenario: User would like to only show Bills on the Bill Payment page and hide other transactions such as Bill Credits, Deposits, and Journal Entries.
To remove non-bill transactions on the Bill Payment page, we need to customize the page and filter out Transaction Types.
Here are the steps we may take:
- On Bills Payments page, we click the Customize button.
- Under the Additional Filters tab, mark the Type field.
- Then click Save.
- On Bill Payments page, select Type = Bill
Now, other Transaction Types are hidden on the page and we may only select Bills.
I hope this helps! Let us know if you have other tips like this! 😊
Tagged:
0