Intercompany Inventory Transfers – Arm’s Length

Destination subsidiary creates an intercompany purchase order. Source subsidiary generates an intercompany sales order through the Manage Intercompany Sales Orders page. Go to Transactions > Sales > Manage Intercompany Sales Orders (Administrator). Source subsidiary fulfills the order and creates an item fulfillment. Destination subsidiary receives the order and creates an item receipt. The quantity received… Continue reading Intercompany Inventory Transfers – Arm’s Length

COGS account is not marked for Elimination

User expects to have no posting against the Standard COGS account and only the Intercompany COGS should be impacted.  For arm’s length intercompany inventory transfer/sale, users are NOT supposed to mark any COGS account as Elimination, including Intercompany COGS account. When the Intercompany COGS is marked for elimination, it will result in double booking of COGS, because the Standard COGS account is used for… Continue reading COGS account is not marked for Elimination

Intercompany Inventory Transfer Orders

In NetSuite, intercompany inventory transfer orders can be classified into two types: arm’s length and non-arm’s length. These terms refer to the pricing used when transferring goods between subsidiaries within the same company. An arm’s length transfer order means the goods are transferred at a price that reflects fair market value, as if the two… Continue reading Intercompany Inventory Transfer Orders

Intercompany Journal entries with no customer name showing on A/R aging detail

Query There are multiple journal entries on the A/R aging detail under no customer/project name at the top of the report. We were able to clear some of them by linking the vendor to a customer (SA 64283). Assigning a dummy customer to the A/R account, creating another JE with opposite balances, and accepting customer payments. Will… Continue reading Intercompany Journal entries with no customer name showing on A/R aging detail

‘To Subsidiary’ and ‘Eliminate’ options in Journal transactions

Basically, those fields are used for Intercompany Eliminations. Prior to the 2024.1 update, if customer would like to use the standard Journal to record the intercompany transactions, they need to customize the form to display the To Subsidiary and Eliminate fields.  Customizing Standard Journal Entries for Intercompany Elimination [ SuiteAnswer #20805] We should use advanced intercompany journal entries… Continue reading ‘To Subsidiary’ and ‘Eliminate’ options in Journal transactions

Intercompany invoice

When pairing an Intercompany Transaction, you must have an Intercompany Invoice with these specifications: A.) Intercompany Customer: Subsidiary A Representing Subsidiary: B B.) Must have the same currency Intercompany Bill must: A.) Intercompany Vendor: Subsidiary B Representing Subsidiary: A B.) Must have the same currency Then after creating the transactions you should be able to pair the… Continue reading Intercompany invoice

Reverse Charge tax code not working on Advanced Intercompany Journal

Query I have selected “Journal” on the plug-in implementation setup for supplementary tax. and the intercompany journal Nothing has been created from the supplementary tax Answer Upon checking, Intercompany Journals is not supported by the Custom G/L Lines Plug in. This is is listed as not supported under SuiteAnswers Id: 41503  Journal. The plug-in supports Journals… Continue reading Reverse Charge tax code not working on Advanced Intercompany Journal

Intercompany elimination reversal Journals are not created

In the “Eliminate intercompany transactions” task of period close checklist, the button “Mark Task Complete” is hit before the Submission Status is set to Complete. It resulted to “Intercompany elimination reversal Journals” not being created(incomplete Intercompany Elimination Journal Entries). To verify this, reopen the period and check the Eliminate Intercompany Transactions Task by doing the… Continue reading Intercompany elimination reversal Journals are not created

The NetSuite Intercompany Framework Feature

Introduction The NetSuite Intercompany Framework feature allows you to manage intercompany workflows. Primarily, this feature manages intercompany cross charges and intercompany netting.  NetSuite Intercompany Framework Overview So how does the Intercompany Framework feature work? Let’s take a look! Intercompany Cross Charges and Intercompany Netting When the NetSuite Intercompany Framework feature has been enabled, you will… Continue reading The NetSuite Intercompany Framework Feature