I have installed and set up the Shopify Payout Reconciliation add-on as part of the Shopify - NetSuite Integration App.
The custom records are getting created with the correct values as expected, however the second flow to create deposits is failing with the following error:
"message": "You have attempted an invalid sublist or line item operation. You are either trying to access a field on a non-existent line or you are trying to add or remove lines from a static sublist."
I've attempted hard-coding the mapping on the flow to select the proper subsidiary and deposit account (I assume I should not have to do either though), to no avail.
I've confirmed that all of the default accounts in the settings for the Payout section are available to the subsidiary in question.
I've completed the Celigo University topic on Payouts as part of this Integration App's certification course.
What am I missing or what else should I try? I'm guessing there is some setting causing the issue, but I have no idea what it might be, and the error message is not particularly helpful in this instance.
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