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Hi, Everyone! @Elina Kourouzidou needs our help. Don't hesitate to contribute your knowledge and best practices. -- In case you know someone who is new to NetSuite, we encourage you to direct them to our newly launched "New to NetSuite" page. This page is specifically designed to offer them information and guidance and…
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Hi, Everyone! @HX_SUBHANKAR needs our help. Don't hesitate to contribute your knowledge and best practices. -- In case you know someone who is new to NetSuite, we encourage you to direct them to our newly launched "New to NetSuite" page. This page is specifically designed to offer them information and guidance and help…
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Hi @AmitCohen , This field is uneditable and can only be updated through manual bank statement import or automatic import using Bank Feeds and ABSI. I hope this clarifies your concern.
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Hello @User_C3DOL Good day and thank you for posting this new thread! Hello everyone! We'd greatly appreciate your support in this matter. Your willingness to assist a fellow member doesn't go unnoticed and is sincerely valued. -- In case you know someone who is new to NetSuite, we encourage you to direct them to our newly…
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Hi @Janice De Ocampo , You can change asset lifetime to align with lease term. However, I recommend testing this first on a Sandbox account so that you can check the results after prior to performing this on your Production Account.
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Hi AhmedM Have you checked @Divya Unnikrishnan 's comments? Kindly update this thread, should you need further assistance. Regards, Ayie
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Hi @Vernita , The behavior you described is expected in this scenario. The system will only remove the Invoice number when you delete a record. However, other details like the Disposal Date, Customer, and Sale Item will remain as this information is associated with the Disposal page, which you had populated. Furthermore,…
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Hello @User_P6PVX, Do you need further assistance on this? Please see my previous comments below: Thank you.
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Hi @GSONI We would like to follow-up on the requested information below: Thank you!
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みなさん、時間です! 正しい解答とその説明については、次の詳細を参照してください。 正解: B: 資産レコードの更新 説明: 資産異動を実行する場合、プロセスの第5段階では、減価償却額に従って資産または税申告方法を転記して資産レコードを更新します。このステップは、「資産レコードの更新」と呼ばれます。 詳細は、 SuiteAnswer 27189 | 資産移動を参照してください。 NetSuiteの始め方ページの他の役立つ記事をチェックして、最大限に活用しましょう! — 参加いただいた皆様、ありがとうございました。正解した皆さん、おめでとうございます! 新しいことを学べたなら幸いです。このスレッドを終了します。来週の挑戦でまた会いましょう。…
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O tempo está acontecendo, pessoal! Veja os detalhes abaixo para obter a resposta correta e sua explicação: Resposta Correta: B. Atualizar registros de Ativo Explicação: Ao executar uma Transferência de Ativo, o quinto estágio no processo atualiza o registro do ativo ajustando o ativo contábil ou o método de impostos de…
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¡Se acabó el tiempo! La respuesta correcta y su explicación figuran a continuación: Respuesta correcta: B Actualizar registros de activos Explicación: Al realizar una transferencia de activos, la quinta etapa del proceso actualiza el registro de activos ajustando el activo de contabilización o el método de impuestos de…
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Time's up, everyone! Kindly see details below for the correct answer and its explanation: Correct Answer: B Update Asset Records Explanation: When performing an Asset Transfer, the fifth stage in the process updates the asset record by adjusting the posting asset or tax method according to its depreciation values. This…
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Hello @Panadick Good day and thank you for posting this new thread! Hello everyone! We'd greatly appreciate your support in this matter. Your willingness to assist a fellow member doesn't go unnoticed and is sincerely valued. -- In the meantime, you might be interested in participating in our Weekly Quiz. You only have…
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Hello @User_P6PVX, While we generally advise against modifying journal entries for audit purposes, it is possible to edit the transaction date on the journal entry without impacting the asset records. For guidance on editing transactions posted in locked periods, please refer to SuiteAnswer 43351 | Transaction Edits in…
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Hi @GSONI I would appreciate it if you could share a screenshot of your dataset. I'd like to recreate it in our test environment and will inform you once I have completed my analysis. Kindly ensure that any sensitive or private information is securely masked or redacted. Thank you and regards, Ayie
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Your welcome @Usernametaken ! Have a great day! 🙂
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Hi @Usernametaken, I have tested this on my test account and here are my findings: The behavior you are experiencing is also reproducible in our test account thus the behavior is considered as standard and not a defect. We experience this behavior because this is still an enhancement under Enhancement # 36536 Provide the…
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Hello, everyone! We invite you to join the conversation and share your valuable insights with us.' — In case you know someone who is new to NetSuite, we encourage you to direct them to our newly launched "New to NetSuite" page. This page is specifically designed to offer them information and guidance and help them make the…
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Hi @Usernametaken Can you please specify the technical issue for which you need assistance? Thank you!
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You can always vote for an improvement by voting on the SuiteIdea mentioned above or by creating a new one. This will directly inform our engineering team about the issue and your concerns you're having. Thank you for understanding.
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The Automated Cash Application applies generated payments to customer records that share the same currency and (if applicable) subsidiary as the account selected on the Automated Cash Application page. This is also documented on SuiteAnswer 101040 . This also confirms @Divya Unnikrishnan comments above. Hope this helps.
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Hi @Sailo Antony, Firstly, accounts with posted and reconciled transactions cannot be deleted, as this will trigger an error message indicating the presence of dependent records. Secondly, merging bank and credit card accounts has a specific impact on reconciled transactions. When these accounts are merged, the…
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Awesome insights @Divya Unnikrishnan ! We appreciate your contributions to our Community. Let us know @Vernita , if you need further clarifications on this. Regards, Ayie
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Hi @Sailo Antony, Let us know if you have any further technical concerns. Thank you!
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Hi @User_BD08X There appear to be modifications made to certain records that might not have been applied to the Asset Type with the Alternate Depreciation Method. To set proper expectations, these types of issues is hard to reproduce in a standard environment hence, rather than requesting screenshots on your end, kindly…
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Hi @Sailo Antony, Here are some references that may help with your concern. You can adjust the keywords based on the specific scenario you're working on. 9958 | Chart of Accounts Import 106046 | CSV Import to Update the Account Number of Chart of Accounts 30623 | Viewing the Chart of Accounts For best practices, I…
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Hi @User_BD08X Le t me know if you need further assistance on this. Thank you!
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Hello, everyone! We invite you to join the conversation and share your valuable insights with us. In the meantime, you might be interested in participating in our Weekly Quiz. You only have until March 6, 2:00 PM ET to comment on your answers and earn rewards! Click here for more details.
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I noticed that there were multiple changes on the Subsidiary on the Asset Type. Can you also show me the System Notes of your Subsidiary as highlighted below. Thank you.