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Intelligent Payment Automation version 1.0.3 is now available in the SuiteApp Marketplace. The SuiteApp, powered by BILL, lets you automate payments, manage vendor details, and bank account information within NetSuite. Learn more
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Join us for complimentary one-day events around the world and step into a future fueled by AI and limitless potential. Explore new breakthroughs, sharpen your skills, and connect with experts who are shaping what’s next. Experience bold keynotes, interactive learning, and connections that span the global NetSuite community. Discover what's next at SuiteConnect Tour 2026.
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Re: Can I create a new "grouping account" under Current Assets> Other Current Assets> Security Assets?
If you already have the Other Current Assets Account, here's how you do it: Go to List - Accounting - Accounts. Search for Security Assets. On the Subaccount of, select Other Current Assets Acco…1 -
Re: Auto Generated Numbers, Subsidiary Prefix stopped working.
Hello there! Yes. It seems you only set up the document numbers on specific subsidiary. You will need to set it up on others as well You may also check the following SuiteAnswers article: Using Subsi…1 -
Re: How does a nonprofit account for processing fees on donations?
Hello @User_DREO6 ! How do you record the donation in NetSuite? You can still record the whole amount of the donation. And then to account for the processing fee, you can click on Add Charge on the M…1 -
Re: AskAGuruLive with Micah about Basic Accounting (August 23, 2023)
Guru Tip 3: If the user accidentally imported incorrect bank transactions, the user can opt to Exclude the transaction on the Match Bank Data page instead of deleting the whole bank statement import …1 -
Re: AskAGuruLive with Micah about Basic Accounting (August 23, 2023)
Guru Tip 2: Newly created Bank Accounts in NetSuite has the Use Match Bank Data and Reconcile Account Statement Pages box checked by default.1
