Shopify – Making bill payments in Indian rupees (INR)

In India, you can pay your Shopify bills in Indian rupees (INR) using Unified Payments Interface (UPI), or a co‑branded debit or credit card through Visa, Mastercard, or the RuPay network. Note: If your store is on the Plus plan and you want to pay your Shopify Bills in Indian rupees (INR), then contact Shopify… Continue reading Shopify – Making bill payments in Indian rupees (INR)

Tasks Portlet

If you want to show a list of Tasks on your dashboard, you can add a Tasks portlet from the Personalize Dashboard palette. You can view tasks using the Dashboard view or the Basic view. Basic view enables you to filter tasks by status and priority as well as view tasks assigned to other users… Continue reading Tasks Portlet

Introducing NetSuite Next—the future of NetSuite

NetSuite Next puts AI to work for your business by making it a natural extension of the way you already operate. Designed to be collaborative, insightful, adaptive, intuitive, and trustworthy, NetSuite Next builds in powerful and practical AI capabilities, including embedded conversational intelligence, agentic workflows, and natural language search capabilities, to handle repetitive and complex… Continue reading Introducing NetSuite Next—the future of NetSuite

NetSuite Electronic Business Overview

NetSuite Electronic Business (NSEB) SuiteApp provides the foundation for NetSuite users to configure and participate in global business networks like Oracle Business Network (OBN) and PEPPOL. The SuiteApp provides global electronic invoicing solutions for country mandates worldwide by partnering with Avalara. Using the NSEB SuiteApp, you’re able to do the following: Enable NetSuite users to… Continue reading NetSuite Electronic Business Overview

Enter a statement charge

To enter a statement charge: Go to Transactions > Sales > Create Statement Charges (Administrator). In the A/R Account field, choose the account you want to post this statement charge to. In the Customer or Project field, select the appropriate customer or project. The currency selected on the customer’s record appears here as well as the exchange rate for this customer’s currency. Note:… Continue reading Enter a statement charge

Rotate Element in PDF Template for BarCode caption

Below is the code for rotating the barcode caption in 270° <table width=“100%”>             <tr>                     <td align=“left” rotate=“-90” width=“20%” vertical-align=“bottom”>                      Caption-1                  … Continue reading Rotate Element in PDF Template for BarCode caption

Update to the OAuth 2.0 Refresh Token Validity (Release 2025.2)

As of NetSuite 25.2, you can change the validity of a refresh token for the OAuth 2.0 authorization code grant flow. This gives you more flexibility when you set up OAuth 2.0 for use with integrations. The new default validity of a refresh token is two days. It previously was three hours. You can make… Continue reading Update to the OAuth 2.0 Refresh Token Validity (Release 2025.2)

Enhanced Check for Leaked Passwords

Previously, NetSuite performed multiple checks on new passwords during their creation. As of NetSuite 25.2, when you log in to NetSuite, your password is compared to a database of leaked passwords. Next time you log in, you will be prompted to change your password if it’s in the database. This feature increases security of your… Continue reading Enhanced Check for Leaked Passwords

Create HTML Formulas in Search permission overview

Create HTML Formulas in Search permission overview By default, NetSuite saved searches output text only for viewing. Some customers need to include HTML formatting and controls in the saved search output. Including HTML in the output provides the ability to: reference other data on the internet, reformat the data, and include active content such as… Continue reading Create HTML Formulas in Search permission overview

Enhanced Transaction Management for Bank Reconciliation – Release 2025.2

Enhanced Transaction Management for Bank Reconciliation: The Match Bank Data and Reconcile Account Statement pages have been enhanced with new bulk selection and processing capabilities. Previously, you could only submit all matched and cleared transactions for an account. Now, you can select and submit multiple transactions on the Review subtab of the Match Bank Data… Continue reading Enhanced Transaction Management for Bank Reconciliation – Release 2025.2