NetCash Custom Transaction Types

Overview

Users have the option to use custom NetCash transaction types or native NetSuite journal entries in NetCash. There is a separate NetCash Journal Entry approval flow for users utilizing the custom transaction types. Custom transaction types can be used without the approval flow. This approval flow does not impact native NetSuite journal entries and will not apply to advanced intercompany journal entries. If a NetCash transfer is created between two subsidiaries, a Native Advanced Intercompany Journal Entry will be used instead of a NetCash Transfer. NetSuite does not allow custom transaction types for intercompany transactions. 

 

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