We are located in Jordan, therefore you'll need to work as per our working hours.
This project is for NetSuite experts only. Please add the following phrase when responding "I have done integration works through SuiteTalk".
We need you to do 3rd party POS "Point of Sale" with NetSuite ERP - Financial Management integration:
Scope of work:
- It's only one way integration from 3rd Party POS to NetSuite
- Sales end of day - debit and credit journal entry-accounts to be determined (tax, discount and returns to be affected on accounts as well).
- Inventory consumption from order - debit and credit journal entry- account to be determined
- Inventory adjustments - debit and credit journal entry - accounts to be determined based on reason and type of item
- Inventory counting debit and credit journal entry - accounts to be determined
Only Financial Management, the Inventory Management will be in the 3rd party POS system. The Inventory is entered and managed by the POS, all amounts will be sent from POS to NetSuite (Totals). Debt or Credit for the inventory amounts (Total end of day if possible). We will need to ensure the control of any RETURNS to make sure that the NET amounts are correct. So, in summary we only need the Journal entries.
Note: This is for NetSuite SuiteCloud Platform.
Please provide your quote for the full project.
29 freelancers are bidding on average $1373 for this job
Hello, I have done integration works through SuiteTalk. I went through with all the details and I'm sure I can do this. I can do this for $1500, kindly let me know if it is feasible for you?