Integration Artifacts
The Close Management and Consolidation Sync SuiteApp lets you exchange data between NetSuite and your Financial Consolidation and Close. For information, see the following help topics:
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To use a sample script file in NetSuite so you can import journal entries from your Financial Consolidation and Close, see Importing Enterprise Journals into NetSuite.
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To use a template with tasks so you can set up Task Manager in your Financial Consolidation and Close, see Setting Up Task Manager in NetSuite.
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To use a template with source and target account types so you can load account metadata into your Financial Consolidation and Close, see Loading Account Metadata into Financial Consolidation and Close.
Related Topics
- Close Management and Consolidation Sync Installation and Setup
- Required Features for Installing the Close Management and Consolidation Sync SuiteApp
- Installing the Close Management and Consolidation Sync SuiteApp
- Role Permissions for Close Management and Consolidation Sync Users
- Setting Up the Integration User for Close Management and Consolidation Sync
- Setting Up Token-based Authentication for Close Management and Consolidation Sync
- Setting Up the Connection to Financial Consolidation and Close
- Scheduling Script Deployments for Close Management and Consolidation Sync
- Close Management and Consolidation Sync Configuration Checklist
- Saved Searches for Close Management and Consolidation Sync
- Managing the Close Management and Consolidation Saved Searches
- Saved Search Settings in Close Management and Consolidation Sync
- Metadata Export to Financial Consolidation and Close
- Account Metadata Hierarchy in Close Management and Consolidation Sync
- Using SuiteAnalytics Datasets with Close Management and Consolidation Sync
- Managing Jobs in Close Management and Consolidation Sync
- Substitution Variables in Close Management and Consolidation Sync
- Portlets for Close Management and Consolidation Sync