Netsuite Practice Set Beta Draft 1
Netsuite Practice Set Beta Draft 1
Netsuite Practice Set Beta Draft 1
(Beta Draft)
The students are expected to generate the following reports and schedules:
1. Statement of Financial Position
2. Income Statement
3. Statement of Cash Flow
4. Sales per customer
5. Sales per products
6. Customer Balances Summary
7. Vendors Balances Summary
To use the material, assume that you are assignedin the accounting
department of the company.To begin read first thegeneral instructions.
General Instructions
1. Enter company information.
2. Setup the company.
3. Create chart of accounts.
4. Create Vendors List.
5. Create Customers List.
6. Create Items List.
7. Work on the daily transactions. Place a tick mark in every transaction.
Example:
Vendor PO Done
Name No. Item Qty.
DYBI 3 Best – Cola 7200 ✓
Best – Orange 7200 ✓
Chapter 1
Getting Started
COMPANY
The company is engaged in retailing food products and selling them over the
internet. In addition, the company operates from Monday to Friday only to give the
employees time to spend with their family and perhaps be engaged in other
productive livelihood activities (e.g. gardening, farming, etc.).
In recording disbursements, the company uses the voucher system.
Moreover, perpetual system is used in recording the inventories.
LOGGING IN
Open any web browser (recommended Mozilla Firefox and Google Chrome)
and go to www.netsuite.com.
Fig. 1
Click Customer Login and you will redirected to customer login page (Fig. 2).
Enter your email address and the password.
Fig. 2
Once logged in you will be asked to provide security features and to change your
default password.
USER INTERFACE
The NetSuite interface contains center, dashboard and portlets.Each user has
a variety set of tabbed pages, called center. The center varies from user to user
depending on their role in company. The one shown above is the center of an
administrator. But there are pages that is common to each user and that is Home,
Activities, Document and Setup.
Center
Portlet
Dashboard
Personalized Dashboard
To edit the dashboard follow steps listed below:
1. Click Personalize Dashboard located in the Settings portlet.
2. Click Calendar.
3. Then close the Add Content window by clicking close icon.
4. Then try to rearrange the portlet by dragging it using mouse pointer.
Set Preferences
Setting personal preferences allows you to personalized NetSuite specific to
your role and personality. The page displays options for virtually all aspects of your
NetSuite account. The features enabled in your account, and your NetSuite role
affect which subtabs and options display on the Set Preferences page.
To set your personal preferences:
1. Go to Home > Set Preferences.
As you can see there are various sub-tabs on the page to choose to edit your
preference.For instance, if you want to add your nickname in every message you
sent to the vendor just click the general tab and enter your nickname in the given
field together. You can also add a signature message at the end of every email. Click
appearance tab to change the color and style of your interface. Then click <Save> if
you are through.
Note: You can always click Mr. Help for more explanation
ROLES
A role is a defined access configuration. For instance, salas manager access is
different from bookkeeper access in the system. This is the very essence of an ERP
system. Every users with disignated funtion (e.g. Sales, Accounting) in the company
can work independently but still using the same database.
To add role to your account, first you should be loggin as Administrator.
Unlike other role the administrator role which also called the super user can do
everything inside the system.
Go to Lists > Employees > Employees then follow the steps listed below.
1. Find your name in the list and click the edit button found on the left side of
the screen.
2. Enter your first name and last name in the Name field.
3. Click the Access tab found at the bottom of the page.
COMPANY SETUP
Company Information
Before setting up company information, adjust first the phone number
format. To set phone number format click Setup > Company > General
Preference. In the phone number format choose (123) 456-7890 leave everything
as is and click Save.
To setup company information Click Setup > Company > Company Information
and fill in the form with the following data.
Company Name: (Your Name) Company
TIN: 17-123456
Legal Name: (Your Initials) Enterprise
Return email address: (Your email add)
Shipping Address:
Attention: (Name of your best friend)
Phone: (617) 222-9987
Address 1: Fox Hollow Ave.
City: Ada
State: Michigan
Zip: 49301
Enabling Feature
You can turn on or off any features in Netsuite. To enable features of Netsuite
go to Setup > Company > Enable Features. Enable some feature as stated below.
Company Accounting
Classifications Basic Features
√ Departments √ Accounting
√ Locations √ A/R
√ Classes √ A/P
ERP General √ Accounting period
√ Multiple Unit of Measure Advanced Features
Data Management √ Expense Allocation
√ Inline Editing √ Revenue Recognition
√ File Cabinet √ Multiple Budget
Transactions Items and Inventory
Basic Feature Items
Enable all √ Bar Coding and Item Label
Sales Inventory
√ Multiple Prices √ Inventory
√ Gross Profit √ Serialized Inventory
Shaping and Receiving
√ Advance Shipping
√ Pick, Pack and Ship
√ Shipping Level Integration
√ Advanced Receiving
Billing
√ Bill Costs To Customer
Payment Processing
√ Credit Card Payment
Note: Some feature may not be present, so just move to the next feature.
Tab not shown should be set to the default value.
Rename Records/Transactions
In Netsuite you can customize the name of your records and transactions. Go
to Setup > Company > Rename Records/Transactions.
Rename the following field:
Name for Class: Product Lines
Leave everything as it is and then click <Save>.
Auto-Generated Numbers
Entities
Enable Type Prefix Minimum Initial Allowed
Digits No. Override
Check Customer CU 5 10001 No
Check Employee EM 5 20001 No
Check Vendor VE 5 30001 No
Document Number
Type Prefix Minimum Initial No. Allowed
Digits Override
Cash Sales CI 5 10001 No
Credit Memo CM 5 20001 No
Deposit DS 5 90001 No
Inventory IA 5 90001 No
Adjustment
Invoice SI 5 40001 No
Item Fulfillment PS 5 50001 No
Item Receipt RR 5 60001 No
Journal JE 5 70001 No
Payment PV 5 90001 No
Purchase Order PO 5 30001 No
Return RA 5 90001 No
Authorization
Sales Order SO 5 80001 No
Product Lines
Netsuite can breakdown company performance either by Product Lines or by
Department. To add product line go to Setup > Company > Classification > Classes
> New and then create the following Product Lines.
1. Food
2. Beverage
ACCOUNTING SETUP
Accounting Period
To monitor and control status of account effectively accounting must be
enabled. In NetSuite, one accounting period is equivalent to one month of
transaction.
To setup accounting period go to Setup > Accounting > Manage Accounting
Periods and the on the bottom right click <Setup Full Year>.
Then do the following steps:
1. Choose January in the First Fiscal Month.
2. In Fiscal Year End text box enter the current year.
3. Choose Calendar Month as Period Format.
4. Choose Ending Year of Period in Year End Period Name.
5. Check the One-Day Year-End Adj. Period.
6. Click <Save>
Chart of Account/Opening Balances
Setting up chart of account is one of basic step before making any transaction
in NetSuite. Each account is assigned one account type. Account types are used to
organize data in the master files or registers and in financial reports.
In NetSuite there is two type of account according to hierarchy namely,
Parent and Child account. The parent account is the main account while the child is
the sub account. All accounts by default is a parent account.
To setup chart of account go to Setup > Accounting > Manage G/L > Chart
of Account.
NetSuite provides default account filled in the chart of accounts. You can edit
them provided that the account is not been used in any transaction. You can also add
new account. To add new account follow the following steps:
1. Click <New>
2. In account type choose Bank
3. In name type Cash in Bank
4. Click <Save>
To add new subaccount follow the following steps:
1. Click <New>
2. For Account type choose Bank
3. For the Name type PBO Checking #2342228
4. In the Subaccount field select Cash in Bank.
5. If the Cash in Bank does not appear, go to Setup > Accounting >
Preferences > Accounting Preferences. Then check the Expand Account
List. Then click <Save>. Then repeat the process except no. 5.
6. Click <Save>
Add the following accounts
Sub account Done
Type Account Name of
Bank Cash in Bank
Bank PBO Checking #2342228 Cash in Bank
Bank CO Checking #3245690 Cash in Bank
Bank Petty Cash Fund
Accounts Receivable Accounts Receivable
Allowance for Doubtful
Other Current Asset Account
Other Current Asset Merchandise Inventory
Other Current Asset Prepaid Insurance
Other Current Asset Office Supplies
Accounts Payable Vouchers Payable
Accounts Payable Income Tax Payable
Accounts Payable BIR Payable
Accounts Payable SSS Payable
Accounts Payable Pag-Ibig Payable
Accounts Payable Philhealth Payable
Accounts Payable Salary Payable
Long Term Payable Loan Payable
Equity EK, Capital
Equity EK, Drawing
Income Sales
Income Sales Discount Sales
Sales Returns and
Income Allowances Sales
Other Income Interest Income
Cost of Goods Sold COGS
Cost of Goods Sold Inventory Variance
Expense Salary Expense
Expense Gas and Fuel Expense
Expense Repairs and Maintenance
Expense Depreciation
Expense Doubtful Account
Expense Internet Expense
Expense Rental Expense
Expense Transportation Expense
Expense Light and Water Expense
Expense Commission Expense
Expense Bank Service Charge
Expense Insurance Expense
Expense Supplies Expense
Security and Janitorial
Expense Expense
Expense Interest Expense
Expense Taxes and Licenses
Expense Miscellaneous Expense
Openning Balance
To setup openning balance go to Setup > Accounting > Enter Openning
Balance. Next, enter the balances shown below.
Account Name Debit Credit Done
PBO Checking #2342228 5,000,000
CO Checking #3245690 4,000,000
Petty Cash Fund 25,000
Prepaid Insurance 75,000
EK, Capital 9,100,000
Make it sure that the Out of Balance by value is zero. Then click <Save>.
Accounting Preference
To control the flow of accounting management user interface accounting
preferences must be set first. To set accounting preferences go to Setup >
Accounting >Preferences > Accounting Preferences and change the value as
stated:
NOTE: If not mentioned just leave it as it is.
General:
1. Expand Account Lists : Check
2. Aging Reports Used: Due Date
3. Require Approvals on Journal Entries: Uncheck
4. Allow Transaction Date outside of Posting Period: Warn
Items/Transactions:
1. Purchase Discount Account: Cost of Goods Sold
2. Default Income Account: Sales
3. Default COGS Account: Cost of Goods Sold
4. Default Payment Account: PBO Checking #2342228
Order Management:
1. Default Sales Order Status: Pending Fulfillment
Click <Save>
LISTS
Vendors List
To add vendor, go to Lists > Relationships > Vendors then click <New> and
follow the steps listed below:
1. Next to Type select Company.
2. In the Company Name field enter King’s Best.
3. Click the <Address> Tab Below, Click the pencil sign (right side) and enter the
necessary data.
4. In the Attention Field, Enter the name of your mother.
5. In the Addressee Field enter Mrs. (Your Family Name).
6. In the Phone field type 0822259990.
7. In the Address1 Field type 256 Washington St. and in the City Field enter
your birth place.
8. Then select Philippines in the Country field.
9. Click <Add/Edit Button>.
10. Lastly click <Financial Tab> to enter opening balance.
11. In the Legal Name Field enter KFI
12. In the opening balance field enter 50,500.00.
Add the following data in vendors list. Use your birth place in the City field. In the
Attention Field just enter any name you like.
Address 1 Legal Opening
Company Name Phone Name Bal. Done
082224- 28 Emerald GCBI 30,000.00
Grips Cola 3390 Ave.
082222- 21 Diamond PDI 20,500.00
Pink Energy 2233 Ave.
082222- 34 Pacesetter YFI 96,700.00
Yammy Foods 1122 Ave.
082300- 67 Silver Ave. CDC 45,200.00
Company D 1333
National Office 082234- 89 Edify Ave. NOI 23,400.00
Store 6556
082221- 12 Crown NMC
Northern Motors 0001 Ave.
Bureau of 082300- 33 Bonifacio BIR
Internal Revenue 1444 St.
Star Life 082255- 45 Luna St. SLII
Insurance 5566
City Treasurers 082222- 67 St. Peter CTO
Office 1222 St.
Petty Cash
Custodian
Social Security 082234- 25 Laurel Ave. SSS
System 1234
082221- 82 Laurel Ave. HDMF
Pag-Ibig Funds 1234
082224- 23 Quezon PHI
Philippine Health 4321 Ave.
Customers List
To add customer go to Lists > Relationships > Customers then click <New> and
follow the steps listed below:
1. In the Custom Form field select Standard Client Form.
2. Next to Type select Company.
3. In the Company Name field enterAsai Convenience Store.
4. Click the <Address> Tab Below and enter the necessary data.
5. In the Attention Field, Enter Irene Surigao.
6. In the Addressee Field enter Miss Irene
7. In the Phone field type 0823001111.
8. In the Address1 Field type 28 Flores Vill. and enter Davao in the City Field
9. Then select Philippines in the Country field
10. Lastly click <Financial> Tab to enter opening balance.
11. In the Account Field enter Asai Corporation.
12. In the opening balance field enter 120,200.00.
Add the following data in customer list. Use your birth place in the City field. In the
Attention Field just enter any name you like.
Opening
Company Type Phone Address 1 Legal Name Done
Bal.
Braga Minimart Company 0823002222 38 Bamboo Braga 35,900.00
Ave. Corporation
Balms Sari-Sari Company 0822221122 456 WES Roderick 67,750.00
Store Ave. Balmes
CJ Sari-Sari Company 0822221234 325 CJ and Co.
Store Banahaw
St.
Leanne Food Company 0822342345 27 Cipres Lea Dela Cruz 24,000.00
Mart Ave.
Alms Sari-Sari Company 0822221100 45 Samuel Joel Almasa 78,900.00
St.
Unit of Measure
The multiple unit of measurewill enable you to classify different type unit used to
purchase, stock and sale products. To setup unit of measure go to Lists >
Accounting > Units of Measure > New. Follow the steps listed below:
1. In the Type Name field enter Case1.
2. In the Name column enter Bottle.
3. In the Plural Name column enter Bottles.
4. In the Abbreviation column enter Btl
5. In the Plural Abbreviation column enter Btls
6. In the Conversion Rate column enter 1.
7. In the Base Unit select Yes.
8. Then click Add.
9. Using steps 2 to 5 add another unit name Case and Pallet.
10. In the Conversion Column enter 12 for Case and 120 for Pallet.
11. Click <Add> and lastly click <Save>.
Add the following data in customer list. Use your birth place in the City field. In the
Attention Field just enter any name you like.
Type Name Plural Abbreviati Plural Conversion Base
Name Name on Abbreviat Rate Unit
ion
Case2 Bottle Bottles Btl Btls 1 Yes
Case Cases Cs Css 24
Pallet Pallets Plt Plts 480
Pack1 Piece Pieces Pc Pcs 1 Yes
Box Boxes Bx Bxs 100
Pack Packs Pk Pks 10
Pack2 Piece Pieces Pc Pcs 1 Yes
Box Boxes Bx Bxs 100
Pack Packs Pk Pks 20
Dozen Piece Pieces Pc Pcs 1 Yes
Dozen Dozens Dz Dzs 12
Box Boxes Bx Bxs 48
ITEM LIST
There are wide ranges of item records that can be created in NetSuite. The most
common type of item is Inventory Items, Non-Inventory Items and Services.
Inventory items include those goods for sale while non-inventory items include
inventory not for sale such as Property Plant and Equipment and inventory for sale
such scraps.
Inventory Items
To setup item go to Lists > Accounting > Items > New.Follow the steps listed
below:
1. Click <Inventory Item>.
2. In the Item Name Field enter Corny Cracker.
3. In the Unit Type field select Pack2.
4. In the Stock Units field select Pack.
5. In the Purchase Units field select Box.
6. In the Sale Units field select Pack.
7. In the Classification section, go to Product Line field and select Food.
8. Click <Purchase/Inventory> tab.
9. In the Costing Method select Average.
10. In the Purchase Price enter 200.00.
11. In the Purchase Description field enter “A delicious Corn Snacks”.
12. In the Quantity on Hand field enter 20.
13. Click <Sales/Pricing> tab.
14. In the Sales Description field enter “A delicious Corn Snacks”.
15. In the Base Price field enter 40.00.
16. Then click <Save>.
No need to set values in the accounting tab since this was already set in the
accounting preferences.The Web Store will be use later upon building company
webpage.
Shipping List
DAY 1 (Monday)
a. Grips Cola
i. 1 pallet – Nutri Orange
ii. 1 pallet – Yums Cola
iii. 1 pallet – Nutri Mango
b. Pink Energy
i. 1 pallet – Peak Energy Drink
ii. 1 pallet – Peak Energy Drink Mint
c. Yammy Foods
i. 20 boxes – Soft Cake
ii. 40 boxes – Biskitco
iii. 20 boxes – Cookie Choco
a. Braga Minimart
i. 4 cases Nutri Orange
ii. 4 cases Yums Cola
iii. 4 cases Nutri Mango
iv. 2 cases Peak Energy Drink
v. 2 cases Peak Energy Drink Mint
vi. 3 boxes Soft Cake
vii. 6 boxes Biskitco
viii. 3 boxes Cookie Choco
DAY 2 (Tuesday)
DAY 3 (Wednesday)
DAY 5 (Friday)
DAY 6 (Monday)
DAY 8 (Wednesday)
DAY 9 (Thursday)
2. Paid vendors for office supplies purchased on account on Day 1, P 2,000 worth of
supplies still on hand.
CONTENT
(ACCURACY OF 0 – 5 Errors 6 – 10 More than 10 X 30
TRANSACTIONS, Errors Errors
& BALANCES)
PRESENTATION
(FINANCIAL 0 – 3 Errors 4 – 7 Errors More than 8 X 30
STATEMENT) Errors
PRESENTATION
(WEB STORE) Fully Semi- Not X 20
Functional Functional Functional