Creating Vendors for Automated Bill Payments
If you use any of the following SuiteApps, you can automatically migrate your vendors' bank account details with a U.S. address:
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Electronic Bank Payments
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Payment Automation with HSBC
For more information, see Switching and Migrating to Intelligent Payment Automation.
For new or existing U.S. vendors, you must enter a U.S. address in the vendor record. If you use the Vendor Payment Instruments feature, you can also set a default U.S. bank account for ACH payments.
If a vendor record does not have a bank account, you can only pay vendor bills by check. To view other available payment options for vendors in the BILL network or for Verified National Vendors, see Bill Payment Options.
To enable the Vendor Payment Instruments feature, see Installing the Intelligent Payment Automation SuiteApp. Also, see Setting Up Intelligent Payment Automation Roles and Permissions to assign the Edit level for the following required permissions for ACH payments:
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Vendor Automated Clearing House
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View Unencrypted Vendor ACH Account Numbers
After you create and initially sync a vendor record, NetSuite generates the Vendor Profile Information record and adds it to the Automated Bill Payments subtab. On this record, you can view these BILL statuses and details:
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Automated Bill Payments
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Subsidiary
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Verified National Vendor ID
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Preferred Payment Mode
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Vendor Network Status
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Bank Account Status
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Vendor Creation Failure Reason
For synced vendors with or without BILL accounts, except those connected to the BILL network, NetSuite updates automatically reflect on the BILL vendor record. For more guidelines, see BILL Accounts and BILL Network for Vendors.
To create vendors for Automated Bill Payments:
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Go to Lists > Relationships > Vendors > New.
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Enter the basic details in the following fields:
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Company Name
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Type
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Email
In the Company Name field, enter the exact vendor's name. BILL uses this value to find matching vendor accounts.
To enter other basic and additional vendor details, see Creating a Vendor Record.
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To set up subsidiaries:
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In the Primary Subsidiary field, select a U.S. subsidiary.
The primary subsidiary is assigned as the subsidiary in the Vendor Profile Information record.
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(Optional) If you have multiple subsidiaries, on the Subsidiaries subtab, you can add secondary U.S. subsidiaries.
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On the Address subtab, add a U.S. address and select it as the default billing address.
If you add multiple addresses, be sure to select a U.S. address as the vendor's default billing address.
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On the Financial subtab, do the following:
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In the Primary Currency field, select US Dollar.
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On the Currencies subtab, add the US Dollar currency.
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(Optional) On the Automated Bill Payments subtab, in the Vendor Remittance Email Address field, enter one email address.
By default, BILL sends payment confirmation to the email address in the header, unless you enter one in this field.
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Click Save.
After you create a vendor record, NetSuite automatically submits it in the next scheduled syncing with BILL. If you want to manually sync it, see Manually Syncing Vendors with BILL.
Regardless of the result of initial syncing, NetSuite creates a Vendor Profile Information record and displays it on the Automated Bill Payments subtab. If a vendor is synced successfully, it automatically checks the Automated Bill Payments setting on this record. After this setting is enabled, you can create and submit payments to BILL for this vendor. For more information, see Payment Processing.