Oracle NetSuite: AP Funds Transfers
- AP funds transfers sync to Oracle NetSuite as journal entries
- Bill.com does not support departments, locations, and/or classes on AP funds transfers
- When AP funds transfers sync to Oracle NetSuite, the entry will use the classification that is set as the Default Payables classification in Bill.com Preferences within Oracle NetSuite
- To make it easier to reclassify these records (as needed), create a department, location, and/or class called Unclassified, Uncoded or something similar, and set that as the Default Payables classification. This will allow a report to be run in order to isolate the AP funds transfers that need to be reclassified.
Account Setup View all
Making Payments to your Vendor View all
Getting Paid by your Customer View all
Load more