To retrieve transaction line and joint custom record fields in Boomi, create a NetSuite saved search and configure the Boomi NetSuite connector's QUERY operation. Import the response profile,…
To retrieve values from a multi-select field in NetSuite SuiteScript 2.x, use `Record.getValue(options)` or `CurrentRecord.getValue(options)`. This function returns an array of internal IDs representing the selected options, such…
To reverse a journal entry created by an allocation schedule in NetSuite, manually create a new journal entry. This new entry must generate reversing General Ledger (GL) impacts…
To reverse recognized revenue and stop future revenue recognition in NetSuite, utilize an RMA or credit memo. After creation, ensure the arrangement of the RMA/Credit is merged with…
NetSuite allows users to manually revert a customer or prospect record to a lead status directly through the 'Lead Status' field on the record. While automated reversion after…
To round floating-point numbers in NetSuite JavaScript, use a custom function that multiplies the number by a power of 10, rounds it, and then divides by the same…
When developing NetSuite solutions involving record deletion, it is crucial to implement stringent validation checks, detailed logging, and thorough testing in non-production environments. These precautions ensure that only…
When working with NetSuite saved search results, direct use of `parseFloat` on `searchResult` is not supported. Instead, assign the value to a variable and validate it using `IsNan`…
The NetSuite Connector for Outlook enables users to save email messages to NetSuite records such as customers, contacts, opportunities, and cases. This functionality allows for associating both incoming…
To schedule NetSuite saved searches for recent record activity, implement time-based formulas in the search criteria. These formulas calculate the time difference between the current time (today) and…
NetSuite allows for the programmatic generation of consolidated customer statements using SuiteScript. While `nlapiPrintRecord` (SuiteScript 1.0) can be used with specific properties like `startdate`, `statementdate`, `openonly`, and `consolstatement`,…
To script an inventory transfer in NetSuite, utilize the "tobinnumber" field found on the inventory detail subrecord. This field is essential for specifying the destination bin when programmatically…