Webinar
How to configure NetSuite for intercompany transactions
Tuesday, January 27th | 1:00 - 2:00 PM ET
Intercompany transactions don’t have to be one of the most painful parts of close. For multi-entity organizations, the right NetSuite setup can increase efficiency, reduce duplicate entries, and streamline month-end reconciliations and eliminations.
In this session, we’ll break down proven NetSuite best practices for configuring intercompany processes. From core concepts, setup options, common transaction flows, to sharing practical guidance on automating intercompany billing, eliminations, and reconciliation.
Topics covered include:
- Core intercompany setup
- Entity configuration
- Elimination companies
- Intercompany transactions
- Elimination considerations
Attendees will leave with a practical understanding of NetSuite’s intercompany capabilities and actionable strategies to improve the management of intercompany transactions and eliminations.