Discussions
Read on for the latest updates including:
• Agenda Builder launch
• SuiteWorld On Air registration
• New NetSuite Prompt Studio Contest
• And more!
Check out this thread to learn more!
Don’t miss your chance to meet our SuiteGurus—NetSuite Support professionals and subject matter experts with extensive experience in select product areas, including OneWorld, Advanced & Basic Accounting, Supply Chain Management, Receivables & Payables, CRM, Account Administration, and the SuiteCloud Platform. Full Conference attendees can prebook exclusive 30-minute one-on-one sessions for your product questions.
Spots are limited! Register through your Agenda Builder and find SuiteGuru under Agenda Enhancements.
Items not posting to the correct GL account on Billing.
Our company used to do everything just as Items for resale.. 5000 COGS and 4000 Sales for GL but opted for tracking purposes to make services and licenses their own so Non Inventory Parts for Resale - Services 5014 and Sale 4004… and Licenses 5015 and Sale 4005.
"most of the time" this works.. however the odd time and even on a PO that is fulfilled all at one time… while the PO GL Impact shows all 5015 (correct) when we Bill out maybe the top 5 will go to 5015, and the rest to 5000.
Not sure why this works most of the time.. but some of the time it ignores the Item record defaults for the Expense Account selected and dumps it into 5000.