Users Unable to Login After Sandbox Refresh

The reason why users could not login on Sandbox upon refresh is because the roles and permissions on employee records got carried over from Production to Sandbox upon refresh. To solve this, Administrators must make sure that the Employee records of the users do not have the SAML Single Sign On permission for Sandbox.   Navigate to Setup > User/Roles > Manage… Continue reading Users Unable to Login After Sandbox Refresh

Posting and Non-posting Transactions

Posting Transactions Posting transactions in NetSuite are the ones that have a direct impact on your financial records and general ledger. These transactions are considered final and are used to update your financial statements. Some examples of posting transactions include: 1. Sales Invoices: When you create an invoice for a customer, it is a posting… Continue reading Posting and Non-posting Transactions

Inventory Replenishments

Inventory replenishment, also referred to as stock replenishment, focuses on ensuring the company reorders items from suppliers in time to meet customer demand without accumulating excess inventory. For retailers, distributors and manufacturers that have multiple inventory storage locations, inventory replenishment can also refer to the process of moving inventory from reserve storage to primary locations… Continue reading Inventory Replenishments

Advanced Inventory Management

  Advanced Inventory Management The Advanced Inventory Management (AIM) feature is used to automate demand-based inventory replenishment. The Advanced Inventory Management feature enables you to use item records to track Lead Time, Safety Stock, and Seasonal Demand for inventory. Item records also show the quantity available for each item. These figures are used to continually… Continue reading Advanced Inventory Management

Accrual-based Reporting VS Cash-based Reporting in NetSuite

Accrual-based reporting focuses on recognizing revenue and expenses when they are earned or incurred, regardless of when the actual cash is received or paid. This method gives you a more comprehensive view of your financial performance over a specific period of time. It helps you track your business’s profitability and assess its overall financial health.… Continue reading Accrual-based Reporting VS Cash-based Reporting in NetSuite

NetSuite Vs QuickBooks

NetSuite is an enterprise resource planning (ERP) software that offers a comprehensive suite of business management tools. It is known for its scalability, making it suitable for growing businesses with complex needs. NetSuite provides functionalities beyond just accounting and financial management. It includes modules for CRM (customer relationship management), inventory management, order management, e-commerce, project… Continue reading NetSuite Vs QuickBooks

Top features of NetSuite for small businesses

NetSuite is a comprehensive cloud-based business management software that offers a range of powerful features tailored to meet the needs of small businesses. Here are some of the key features: Financial Management: NetSuite’s financial management capabilities provide small businesses with a complete view of their financials. It includes features such as general ledger, accounts payable… Continue reading Top features of NetSuite for small businesses

SuiteScript Monitoring, Auditing, and Logging

SuiteScript execution can be monitored and audited using script logs. Script execution details can be viewed on the Script page, the Script Deployment page, and the SuiteScript Debugger.​​ A list of all records that have a user event script or a client script associated with a record can be viewed on the Scripted Record page.​ And, the Application Performance Management (APM)… Continue reading SuiteScript Monitoring, Auditing, and Logging

A step by step guide to cross-location Inventory Transfer in NetSuite

The “cross-location inventory transfer” refers to the process of moving inventory items from one location to another within the NetSuite system. It allows you to manage and track the movement of inventory between different physical or virtual locations within your organization. Here’s a step-by-step guide to performing a cross-location inventory transfer in NetSuite: 1.Start by… Continue reading A step by step guide to cross-location Inventory Transfer in NetSuite