Punchout for NetSuite - Utilize Expense Accounts

Overview

This guide provides a step-by-step walkthrough to show how to utilize expense accounts using the custom Item Categories when using Punchout for NetSuite.

Prerequisites: Must be logged in as an administrator in the NetSuite account. Expenses must be allowed on purchases.

Step by Step Process 

  1. Navigate to Punchout > Punchout Configs and select Vendor Tiles Configs.
  2. Select Edit.
  3. Check the Show Item Mapping List box.
  4. Check the Use Item Categories List box.
  5. Select the Item Categories sub-tab.
  6. Navigate to Punchout Item Category Name and enter a name.
  7. (IF NEEDED) Navigate to Supplier Code Note Matched Handling and select a handling from the dropdown.
  8. Navigate to Account and select an expense account from the dropdown.
  9. Select Add.
  10. Select Save.

Troubleshooting

If any difficulties or issues arise, please reach out to supersync@netgain.tech for resolution.


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