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Payout to reconciliation Automation for NetSuite R4 maintenance release notes, October 2022

What’s enhanced

Authorize.net field to identify settlement transactions

The Authorize.net field to identify settlement transactions setting has been added to the Authorize.net settled batches to NetSuite payout custom records flow. Enter the Authorize.net field name in this setting to identify the settlement transactions in NetSuite for reconciliation. The field name must be provided in the exact format mentioned in the Authorize.net API response. If you leave the field name empty or provide a field name in the format not matching the exact format mentioned in the Authorize.net API response, the settlement transactions are identified using the invoice number (by default). 


For more information, see Reconcile Authorize.net settlement transactions.

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