NetSuite runs the back office. The storefront runs the front. Between them sits a gap that most businesses fill with a person exporting spreadsheets, and that person is the bottleneck and the source of most errors.

We close it: items and pricing out of NetSuite, orders and customers in, inventory reconciled continuously rather than nightly, and fulfilment status flowing back so a customer service query can be answered from one screen.

What this covers

  • Item, pricing and inventory sync from NetSuite to your storefront
  • Orders and customer records written into NetSuite with validation
  • Fulfilment and shipment status returned to the customer-facing system
  • Financial records aligned without manual export
  • SuiteScript and SuiteTalk work where standard endpoints fall short
  • Scheduled and event-driven sync, chosen per data type
  • Failure alerting and a reconciliation report you can act on

How engagements work

  1. Audit

    How your NetSuite instance is actually configured, which is never quite standard.

  2. Design

    Field mapping and sync rules agreed in writing before anything is built.

  3. Build

    Integration plus reconciliation reporting.

  4. Support

    Monitoring, and adjustment as your NetSuite configuration evolves.

Technology

  • Oracle NetSuite
  • SuiteTalk
  • SuiteScript
  • RESTlets
  • Node.js
  • PHP

Related work

Where we have done this

Tell us what you are building

We will tell you how we would approach it, and whether we are the right fit.

Call us for any enquiry 011 41771877

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