Note: The name “SmartConnector” has changed to the “Integration App” as they are built on our Integration Platform as a Service (iPaaS), integrator.io.
Support to create journal entries
Journal entries help you track the total amount deposited by Amazon for a given settlement summary report. It automates the last step of the reconciliation process. that is posting the amounts in G/L accounts. It reconciles the Amazon deposits against NetSuite transactions and settles the bank accounts at the end of a settlement period.
The “NetSuite Settlement Summary Record to NetSuite Journal Entry” flow, the flow fetches the settlement summary record from NetSuite and creates a journal entry record in NetSuite.
New product category
A new product category “Health” is added for the CA domain.
Reducing page size for “NetSuite Settlement Transaction to NetSuite Payment Add" flow
The "NetSuite Settlement Transaction to NetSuite Payment Add" flow takes 14+ seconds to process one customer payment record. Because of this, the payment flow takes more time to process the payment records for the default customers. To improve the performance of the flow the page size for this flow is reduced from 50 to 15 or below.