Chargeback Journal Entries

When a chargeback is responsible for a transfer of funds, either inbound or outbound, a journal entry record must be entered to adjust the balance in your accounts without entering a transaction.

A journal entry record with the Debit Expense and Credit A/R accounts of the customer is created automatically when you write off a chargeback. A link to this journal entry is entered in the Expensed as field.

Journal entry records are also created automatically when a chargeback is won or lost. These journal entries are displayed in the Posting Transaction field under the Chargeback Notifications subtab.

For more information, see Journal Entries Overview.

Related Topics:

Chargeback Workflow
Setting Up the NetSuite Chargeback Workflow SuiteApp
Configuring NetSuite Chargeback Workflow
The Chargeback Record
Chargeback Notifications
Managing Multiple Currencies and Chargebacks
Adding an Assignee to a Chargeback
Adding Supporting Documents to a Chargeback
Writing Off a Chargeback

General Notices