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We’re excited to announce that the 2025 Community Recap is now available! This special recap highlights the amazing contributions and achievements of our members over the year and celebrates the collective success of our community.
Check your personalized recap to see the impact you made in 2025 and how your efforts helped shape our community’s growth and success.
View Your 2025 Community Recap
Thank you to everyone for your passion, collaboration, and support. Here’s to building an even stronger community together in the year ahead!
Season’s greetings to you and yours! As we head into the holidays (December 24 – January 4), we want to take a moment to celebrate the incredible strength and collaboration within our community. Even during the break, you can continue to benefit from connecting with peers, searching related threads, posting your questions, and marking helpful replies as “Accepted” in the Support Community.
Please note our dedicated team will be on reduced coverage during this time, and regular responsiveness will resume on January 5. Wishing you a joyful and restful holiday season!
-The NetSuite Support Community Team
New to NetSuite | Electronic Payments: Global Payment Processing
Some companies maintain multiple Bank Details for their Vendors, especially when operating with multiple Subsidiaries across different countries for Electronic Payment Processing. However, when using the Bill Payment Processing page, only the Primary Bank Account can be used. The system automatically selects the Primary Bank Account, and there is no option to change the Vendor Bank Details from this page—unless a Secondary Bank Account is manually set as the Primary.
Solution
As a workaround, you can use the Global EFT Payment Processing page.
When you set an Entity Bank (Vendor) under the Vendor Bill record > EFT tab, the transaction will be processed based on the selected
Judy Culanding | RPM | New to NetSuite
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