Accounting
NetSuite
Enterprise revenue and cash application for NetSuite.
Betaby OracleCardACH / eCheckStablecoin
Overview
Pushes APT settlement and dispute activity into NetSuite as customer payments and deposits, with subsidiary-aware mapping for multi-entity merchants.
API permissions required
These are the APT capabilities NetSuite requests when a merchant connects. You approve them explicitly and can revoke access at any time.
Read transactions
See your transaction history, amounts, and status.
transactions:readRead settlements
See settlement batches and payout totals.
settlements:readRead disputes
See chargebacks and inquiries.
disputes:readRead reports & analytics
Run and export your reports.
reports:read
How setup works
- 1Install the bundleAdd the APT SuiteApp to your NetSuite account.
- 2Authorize APTComplete the OAuth handshake from the APT portal.
- 3Map subsidiariesMatch each APT merchant account to a NetSuite subsidiary.
Data APT shares
- • Transaction and settlement records
- • Dispute outcomes
- • Currency and FX reference rates
Access granted at Oracle
- • Create customer payments and deposits
- • Read subsidiaries and currencies