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

General Notices