Performing a Referenced Refund

A referenced refund is a refund transaction with an associated sale transaction. Unreferenced refunds are not supported with NetSuite Pay.

You can refund an open balance by issuing a customer refund. For more information, see Refunding an Open Balance.

You can also refund a cash sale with the following steps.

To perform a referenced refund on a cash sale:

  1. Go to Transactions > Sales > Enter Cash Sales > Lists.

  2. Click View next to the sale you want to refund.

  3. Click Refund.

  4. On the Billing subtab, review the original payment information.

  5. Click Save.

Related Topics

Payment Instruments
NetSuite Pay Overview
Refunding a Cash Sale
Refunding an Open Balance

General Notices