NetSuite Integration

NetSuite Integration to manage vendor payments, checks, ACH transfers, and other payment activities without switching between multiple tools. FiChecks gives a practical way to manage NetSuite payments, from creation and approval to sending and tracking, while keeping transaction records organized.

Laptop Screen Showing Oracle NetSuite Integration Dashboard with Sync Status for Vendors, Bills, Payments, and a $2400 Check Printed Notification

Payment Automation

Vendor Payment Processing

ACH & Check Payments

Web & Mobile App

WHERE NETSUITE PAYMENT WORKFLOWS GET COMPLICATED

Managing Payments Inside NetSuite Can Take More Work Than Expected

NetSuite gives finance teams a central place to manage accounting and business operations. But payment processing can still involve separate tools, manual data entry, check printing, approvals, and payment tracking.

No. 1

Manual vendor payment processing

Preparing vendor payments manually can take time, especially when teams handle a large number of bills, suppliers, and payment schedules.

No. 2

Check printing outside NetSuite

When checks are created in one system and printed in another, finance teams have to move information between platforms and keep payment records in sync.

No. 3

Disconnected payment methods

Businesses may use ACH, checks, digital checks, and other payment methods across different tools, making it harder to maintain a consistent workflow.

No. 4

Limited payment visibility

When payment activity happens outside the accounting system, teams may spend extra time checking payment status, confirming delivery, and reconciling transactions.

HOW FICHECKS WORKS

Connect NetSuite With a More Practical Payment Workflow

FiChecks extends your NetSuite payment workflow with tools for creating, approving, sending, and tracking payments.

1

Create

Select bills, enter payment details, choose the payment method, and prepare the transaction for processing.

2

Approve

Apply internal approval steps and user permissions before payments are released.

3

Send

Send vendor and supplier payments through the payment method that fits the transaction, including ACH and check-based options.

4

Track

Monitor payment status, delivery activity, and transaction history from one place.

5

Reconcile

Keep payment records organized so finance teams can review completed transactions and simplify reconciliation.

PAYMENT TOOLS THAT WORK WITH YOUR NETSUITE WORKFLOW

Manage More Than Just Accounts Payable

NetSuite integration gives finance teams more flexibility when handling everyday payment tasks.

NetSuite Vendor Payments

Prepare and send payments to vendors and suppliers while keeping payment activity organized.

NetSuite Check Printing

Create professional checks using your existing printer and compatible check stock.

Check Mailing Services

Send printed checks directly to vendors and suppliers without handling printing, packaging, and postage yourself.

Digital Check Payments

Create and send digital checks electronically when recipients prefer digital delivery.

ACH Payments

Send electronic payments to vendors, suppliers, contractors, and other recipients.

Recurring Payments

Schedule recurring payment activities for ongoing business expenses and obligations.

BUILT FOR FINANCE AND ACCOUNTS PAYABLE TEAMS

Handle Vendor Payments Without Rebuilding Your Accounting Workflow

FiChecks supports businesses that use NetSuite for accounting and need more flexibility around payment execution.

Pay vendors and suppliers

Process approved bills

Send digital checks

Make ACH payments

Manage recurring payment schedules

Track payment status

Maintain payment records

Support accounts payable workflows

Extend Your Existing ERP With Flexible Payment Tools

Businesses already depend on NetSuite for accounting, financial management, purchasing, and accounts payable. FiChecks focuses on the payment side of that workflow without requiring teams to replace the systems they already use.

NetSuite ERP integration

Centralized payment tracking

    Frequently Asked Questions

    What is NetSuite integration?

    NetSuite integration connects NetSuite with another platform or service so information can move between systems without unnecessary manual work. For payments, this can include vendor payments, check printing, ACH transactions, approvals, and payment tracking. FiChecks provides payment capabilities that work alongside NetSuite workflows.

    How can I print checks from NetSuite?

    You can use FiChecks for NetSuite check printing to create and print professional business checks using compatible check stock and an existing printer. FiChecks also provides options for digital and mailed check delivery when physical printing is not the preferred method.

    Can I automate accounts payable payments in NetSuite?

    Yes. FiChecks can support NetSuite accounts payable automation by streamlining payment preparation, approvals, delivery, and tracking. This gives finance teams a more consistent way to manage bills and outgoing payments while keeping their existing NetSuite workflows in place.

    NetSuite Payment Automation vs Manual Payment Workflows

    Manual payment workflows often require finance teams to export information, re-enter payment details, print checks separately, send payments through different systems, and update records afterward. With NetSuite payment automation, businesses can connect these steps into a more consistent process. FiChecks brings payment creation, approvals, delivery, check printing, and tracking together so teams can spend less time switching between tools and more time managing their accounts payable operations.

    READY TO IMPROVE YOUR NETSUITE PAYMENT WORKFLOW?

    NetSuite Integration Designed for Modern Payment Operations

    Connect your NetSuite workflows with flexible payment tools for vendor payments, ACH transfers, check printing, digital checks, approvals, and payment tracking. FiChecks gives finance teams a practical way to manage outgoing payments while keeping their existing accounting processes in place.