Version 2024.2 Settlement and Deduction Features
- Integrated into NetSuite A/P and A/R screens
- Process the short-pay from your standard NetSuite credit memo
- iTPM creates the appropriate financial transactions
- Control access using NetSuite role permissions
- Manage A/R partial payments as deductions
- Start deduction work-flow from short-paid credit memos
- Partially resolve open balance with multiple resolutions, or
- Split to manage each part independently
- Use CSV files from your customer or EDI vendor to simplify processing of complex customer short-pays
- Resolve deductions three ways:
- Supports both promotional and non-promotional short-pays
- 1-Match to promotions. Spending automatically allocated to items based on actual sales.
- 2-Expense. Expense to a G/L-account, i.e. Damages.
- 3-Dispute and return it to A/R for repayment
- Time-saving features for deduction management
- Reason-codes associated with G/L-account for quick resolutions
- Option to assign deduction approvers to each reason code
- Bulk CSV import templates for split, expense, and settlements
- One-step CSV 'split, document and resolve' saves effort for complex deductions
- Deduction Aging Report, dashboard reminders provide visibility
- Mass Deduction Change and Mass Expense saves time managing large volumes of deductions
- Workflow specifically designed for TPM
- Start on the deduction, match to a promotion
- Start on a promotion, match to a deduction
- Match distributor deductions to the appropriate indirect customer's promotion
- Mange both promotional and non-promotional deductions
- Real-time Visibility to deal spending
- Expected Liability, based on real-time data
- Create NetSuite Workbook pivot tables, charts, etc. for your dashboard
- Actual spending, including checks and deduction resolutions
- Net Liability keeps track of what you owe by customer, by event and by item.
- Settlements are allocated to items for more accurate historical P&Ls
- Allocation can be based on shipments for direct customers
- Best-practices controls and validations
- Limit access based on NetSuite permissions & roles
- Built-in workflow and NetSuite dashboard reminders & portlets.
- Attach notes and electronic documents & more
- Leverage NetSuite's integrated communication features
- Use NetSuite for email alerts, dashboard portlets, etc.
- Use NetSuite's drag-and-drop feature to attach customer documentation
- Event-based Accruals
- Option for non-financial log, or actual financial accruals
- Automatically reated based on changes to your trade promotions
- Updated daily by customer, item, and event
- Period-based (a.k.a. live accruals) also available for non-working trade.
- History and audit trail
- Standard NetSuite documents changes
iTPM Settlement Benefits
- Less time, fewer mouse clicks to process complex deductions during cash-application by A/R staff
- More accurate NetSuite A/R aging without deal short-pays
- Easier identification and repay of invalid deductions
- Helps prevent double-dipping
- More accurate P&Ls with historical deal spending allocated by item
- Net and Expected deal liability by allowance and event
- Event accrual log helps 'true-up' your live accruals
- No data synchronization delay because iTPM is inside NetSuite