AApt Commerce
Sign inGet started
All apps

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:read
  • Read settlements

    See settlement batches and payout totals.

    settlements:read
  • Read disputes

    See chargebacks and inquiries.

    disputes:read
  • Read reports & analytics

    Run and export your reports.

    reports:read

How setup works

  1. 1Install the bundleAdd the APT SuiteApp to your NetSuite account.
  2. 2Authorize APTComplete the OAuth handshake from the APT portal.
  3. 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