Discussions
SuiteWorld brings thousands of innovators, builders, and leaders together to learn, connect, and shape what’s next. This October, explore how to build a stronger foundation for growth through inspiring keynotes, major product reveals, hands-on sessions, and unforgettable moments—all in one place for our biggest event of the year. Join us
Intercompany In Transit Account Setting
Hi all
Understand from this article that Intercompany sales order's item fulfilment will post to the following accounts.
https://community.oracle.com/netsuite/english/discussion/comment/16848418#Comment_16848418?utm_source=community-search&utm_medium=organic-search&utm_term=intercompany+item+fulfilment+posting+account
Item Fulfillment:
Subsidiary Debit/Credit Account
Shipping Sub DR COGS
Shipping Sub CR Asset
Shipping Sub DR Intransit
Shipping Sub CR Intercompany Clearing
Would like to know is there any setting to change the highlighted inventory in transit and intercompany clearing account ? Both accounts are under currency assets, my finance would like to classify the intercompany clearing under currency liability instead e.g. Interco Purchase Accruals - In Transit.