Book Image

NetSuite for Consultants - Second Edition

By : Peter Ries
Book Image

NetSuite for Consultants - Second Edition

By: Peter Ries

Overview of this book

ERP and CRM consultants can effectively implement NetSuite for a client organization with the aid of NetSuite for Consultants, revised with the latest features and best practices for NetSuite 2023. After reading this book, you’ll have a thorough understanding of how to configure the NetSuite ecosystem for any business. You’ll learn how to apply new features such as the Manufacturing Mobile application, NetSuite budgeting features, and tools for handling rebates and trade promotions. This edition also includes expanded coverage of technical topics such as SuiteQL and the SuiteTalk REST API. Understanding what a business requires is a crucial first step toward completing any software product deployment, and this NetSuite guide will teach you how to ask meaningful questions that ascertain which features, basic and new, you will need to configure for your client. Most importantly, you’ll not only learn how to perform a NetSuite implementation; you'll also learn how to prepare clients to use the software confidently, which is the true test of a great consultant.
Table of Contents (28 chapters)
1
Section I: The NetSuite Ecosystem, including the Main Modules, Platform, and Related Features
5
Section II: Understanding the Client’s Organization
11
Section III: Implementing an Organization in NetSuite
21
Section IV: Managing Gaps and Integrations
25
Other Books You May Enjoy
26
Index
Appendix: My Answers to Self-Assessments

Processing Vendor Returns and Vendor Credits

Vendor Return Authorizations (or just Returns) are transactions we use in NetSuite to tell the system when an item we purchased needs to be sent back to the supplier. We can create them either directly from a PO screen (once the PO’s items have been received) or by selecting Transactions | Purchases | Enter Vendor Return Authorizations. We typically use these when an item has been received in a damaged state, or sometimes a company has an agreement with their supplier that allows them to return some number of unsold products. Let us take a look at this process:

  1. Once a Vendor Return is created in the system, the items need to be fulfilled, which means shipped out to the vendor. This can be done via the Return button on the Vendor Return screen. Clicking that takes us to a new Item Fulfillment transaction screen. We enter the details of exactly what was shipped out and then the return is complete.
  2. Once a Vendor Return...