A test harness is a collection of tools, scripts, data, and software used to automate the execution of tests, manage test environments, and validate software behavior under various conditions. Defining the testing scope for a test harness involves determining what aspects of the software will be tested, the depth and breadth of testing, and the… Continue reading TEST HARNESS – TESTING SCOPE
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Cloud-based testing
Cloud-based testing is the process of performing software testing using resources, infrastructure, or services hosted in the cloud. Instead of relying on local servers or physical hardware, testing is conducted on virtualized environments provided by cloud service providers like AWS, Google Cloud, or Microsoft Azure. This approach leverages the scalability, flexibility, and accessibility of cloud… Continue reading Cloud-based testing
Understanding Payment Processing Profile Limitations in SuiteCommerce Advanced
When configuring payment processing in SuiteCommerce Advanced (SCA), it’s essential to understand the rigid hierarchy that governs how profiles are applied. Despite the presence of multiple configuration points, only one truly dictates behavior at runtime—and it cannot be bypassed. 🧩 The Core Constraint: Website-Level Binding Each website record in NetSuite can be associated with only… Continue reading Understanding Payment Processing Profile Limitations in SuiteCommerce Advanced
Used Custom Form is Reverting Back to the Preferred Custom Form When Editing
Scenario A user created a Task using a custom form different from their preferred form. However, the form switched to their preferred form when editing the record. Solution Navigate to Customization > Forms > Entry Forms Selected Custom Form: Click Edit Store Form With Record: Enter checkmark Click Save
COA Name & Number: Duplicate Scenario
In NetSuite, duplicate handling for Chart of Accounts (COA) depends on whether you’re referring to the Account Number or the Account Name: 1. Account Number By default, NetSuite does not allow duplicate account numbers if the “Use Account Numbers” feature is enabled. Each account number must be unique. If you try to create another account… Continue reading COA Name & Number: Duplicate Scenario
Features of NetSuite Advanced Financials Module
NetSuite Advanced Financials brings additional financial management functionality to NetSuite, including budgeting, expense allocations and amortization, and statistical accounts. It helps ensure strong financial management by managing and monitoring budgets versus actuals. With expense management capabilities, NetSuite Advanced Financials provides sophisticated expense allocations that make it simple to assign expenses based on typical weightings, while… Continue reading Features of NetSuite Advanced Financials Module
POWER BI Connectivity
There are primarily two effective methods to establish the Power BI connection: 1. Using SuiteAnalytics Connect (ODBC Method) The SuiteAnalytics Connect Service enables you to archive, analyze, and report on NetSuite data using external tools like Power BI. It supports ODBC, JDBC, and drivers, compatible with Windows, Linux, or macOS environments. Important: This service is… Continue reading POWER BI Connectivity
ARM: Difference between Accrued Revenue & Deferred Revenue
Accrued revenue refers to income earned but not yet billed or received. It typically arises when a company delivers goods or services but hasn’t yet invoiced the customer by the end of the accounting period. 🔹 Key Characteristics: Revenue is recognized before cash is received. Typically recorded as a receivable on the balance sheet. Common… Continue reading ARM: Difference between Accrued Revenue & Deferred Revenue
Fixed Assets Management: Saved Search Showing Disposal Write-Off Amount
When managing fixed assets in NetSuite using the Fixed Assets Management (FAM) module, users often rely on saved searches to track various aspects of asset activity — including disposals. However, a current system limitation affects the visibility of specific financial data in these reports. As of now, there is no built-in method to display the write-off… Continue reading Fixed Assets Management: Saved Search Showing Disposal Write-Off Amount
Avalara Tax functionality
When working with an invoice in NetSuite, the tax amount may change after you select Save. This happens due to how tax is calculated in NetSuite and Avalara. Environment: NetSuite Tax calculates automatically whenever a change is made to a transaction, such as an invoice, estimate, or credit memo. Selecting Save triggers tax calculation to… Continue reading Avalara Tax functionality