Discussions
Our service partner for bank feeds integration in U.S. and Canada will undergo four (4) hours of planned maintenance on April 13 - 14, 2025.
Please be advised that our authorized Account Information Service Provider for the NetSuite Bank Feeds SuiteApp will undergo approximately four hours planned outage. Standard maintenance will take place to perform a database upgrade.
The schedule of the planned outage is on Sunday, 13 April 2025, from 11:00 p.m. Pacific Daylight Time (UTC – 7) to 3:00 a.m. Pacific Daylight Time (UTC – 7), Monday, 14 April 2025.
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.
Sourcing Data from Custom Record?
I've created a custom record to store FX rates (for purposes of calculating commissions). There are two important fields on this record
[LIST]
[*]Currency - this is the native currency list
[*]Commissions FX Rate - a custom decimal field
[/LIST]
I have another custom record, our Contract record, which has these fields (among others):
[LIST]
[*]Customer Currency: native currency list, value is set by sourcing from the customer record
[*]Commissions FX Rate Contract - the field I want to populate
[/LIST]
I want to source the "Commissions FX Rate" value into the "Commissions FX Rate Contract" field when the currencies match in the "Currency" and "Customer Currency" fields.