How to navigate NetSuite

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Overview

ServiceTitan’s integration with NetSuite exports accounting transactions and applies standard segments for more detailed reporting. Transactions are mapped to their NetSuite equivalents and can appear in multiple sections of your NetSuite account.


Who uses this feature

  • Administrators, office employees, managers, accountants, and bookkeepers

  • Applies to all business types

  • Applies to all trades

Feature configuration

  • This feature is currently in Private Preview and available for specific accounts. It is subject to change.

Master data and transactions

Below is a list of master data from ServiceTitan to NetSuite. It includes the corresponding transaction names in both systems and where to find them in NetSuite.

ServiceTitan

NetSuite

Where to find in NetSuite

Customers

Customers

Lists > Relationships > Customers

Vendors

Vendors

Lists > Relationships > Vendors

Business Unit

Subsidiary

Setup > Company > Subsidiaries

Business Unit

Department/Class/Location

Setup > Company > Classifications

Trucks/Warehouses

Locations

Setup > Company > Classifications > Locations

General Ledger Accounts

Chart of Accounts

Setup > Accounting > Chart of Accounts

Accounting and transactions

Below is a list of transactions exported from ServiceTitan to NetSuite. It includes the corresponding transaction names in both systems and where to find them in NetSuite.

ServiceTitan

NetSuite

Where to find it in NetSuite

Jobs

Projects

Lists > Relationships > Projects

Invoices

Invoices

Transactions > Sales > Create Invoices > List

Payment

Customer Payments

Transactions > Sales > Accept Customer Payments > List

Bank Deposits

Journal Entry

Transactions > Financial > Make Journal Entries > List

Purchase Order

Purchase Order

Transactions > Purchases > Enter Purchase Orders > List

Receipt

Item Receipt

Transactions > Purchases > Receive Orders > List

Inventory Bill

Vendor Bill

Transactions > Payables > Enter Bills > List

Inventory Returns/Vendor

Vendor Credit

Transactions > Payables > Enter Vendor Credits

Inventory Transfers

Transfer Orders

N/A

Inventory Adjustments

Journal Entry

Transactions > Financial > Make Journal Entries > List

Journal Entry

Journal Entry

Transactions > Financial > Make Journal Entries > List

View in ServiceTitan

All data synced to NetSuite have a View in ServiceTitan button that when clicked will open a new ServiceTitan browser tab and take the user directly to the corresponding record in ServiceTitan.  If the user is not already logged in to ServiceTitan, the user will be presented with a login page before navigating to the linked record. 

Button to access ServiceTitan for further actions or information.

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