NetSuite Field Service Management Module: Streamlining Operations for Field Service Businesses

Introduction Field Service Management (FSM) is a critical component for businesses that deploy technicians to customer sites, such as those in HVAC, construction, healthcare, and equipment maintenance. NetSuite’s Field Service Management module, formerly known as NextService, is a cloud-based, end-to-end solution designed to enhance efficiency, reduce costs, and improve customer satisfaction. Integrated natively with NetSuite’s… Continue reading NetSuite Field Service Management Module: Streamlining Operations for Field Service Businesses

Patch Cable Configurator Extension for PDP

Overview The Patch Cable Configurator is a SuiteCommerce Advanced (SCA) extension that allows users to request a customized patch cable from an existing product page by submitting additional configuration options via a form. The extension is seamlessly integrated into the PDP and provides a backend service for handling requests. Key Features Adds a custom form… Continue reading Patch Cable Configurator Extension for PDP

WAPT IN TESTING

WAPT (Web Application Performance Testing) is a load and stress testing tool designed to assess the performance and reliability of web applications, websites, and APIs. It is widely used to simulate virtual user activity and measure system performance under various loads, helping developers and QA teams identify bottlenecks and optimize applications for scalability. Benefits of… Continue reading WAPT IN TESTING

Rebate in NetSuite

A return of the original payment for some service or merchandise ; partial refund A vendor credit that can be applied to reduce the amount owed to a vendor. Refund a certain amount of money via credit memo, reducing amount owed by a customer. Can be applied to customer’s future or open invoices. REBATES TERMS… Continue reading Rebate in NetSuite

Payout to Reconciliation Automation for NetSuite

‘Payout to Reconciliation Automation for NetSuite’ integration app and its structure The “Payout to Reconciliation Automation for NetSuite” integration app provides you the capability to reconcile transactions processed via different payment gateways integrated with leading web stores and marketplaces. To reconcile transactions from different gateways, you can install one business process app and integrate it… Continue reading Payout to Reconciliation Automation for NetSuite

How to Implement Statement Charges

Some companies provide services/goods to customers but they can’t send the bill/invoice to customer after item fulfillment/service provided time. They will generate a statement at the month end. At the time of statement generation total provided items/services cost is list down in ‘Generate Statement’ page. After statement/bill generation send it to customer through email/fax. Eligible items to… Continue reading How to Implement Statement Charges

Display Values from the Transaction Record Using SuiteQL BUILTIN.DF

When working with the Transaction record in SuiteQL, some fields return internal values that are not easily understood at a glance. For example: The Status field may return a single-letter code. Fields like Entity, Employee, and LastModifiedBy return internal IDs. The Type field displays abbreviations like SalesOrd or PurchOrd. These internal values are meaningful to the system but not very useful to end users or admins reviewing query results. To… Continue reading Display Values from the Transaction Record Using SuiteQL BUILTIN.DF

Configuring SFTP Connection for Auto Bank Statement Import

When using the Auto Bank Statement Import (ABSI) SuiteApp, an SFTP connection is required to connect NetSuite to your financial institution’s server. You can configure your SFTP connection in NetSuite by providing one or both information : Digital Certificate or Private Key Password If your financial institution requires two-factor authentication, be sure to provide both… Continue reading Configuring SFTP Connection for Auto Bank Statement Import

General Accounting Related features

Accounting is the system of recording and summarizing business and financial transactions and analyzing, verifying, and reporting the results. Accounting has variously been defined as the keeping or preparation of the financial records of transactions of the firm, the analysis, verification and reporting of such records and “the principles and procedures of accounting” In NetSuite’s… Continue reading General Accounting Related features