ODBC Driver for NetSuite

Build 25.0.9434

Views

Views are similar to tables in the way that data is represented; however, views are read-only.

Queries can be executed against a view as if it were a normal table.

CData ODBC Driver for NetSuite Views

Name Description
account The Account table stores financial account details, including general ledger accounts used for recording transactions.
AccountContextSearch The AccountContextSearch table facilitates account searches within specific contexts, aiding in financial reporting and reconciliation.
accountingbook The AccountingBook table defines different sets of books used for financial reporting, supporting multiple accounting standards and compliance requirements.
accountingcontext The AccountingContext table manages contextual settings for financial transactions, enabling reporting consistency across various accounting frameworks.
accountingperiod The AccountingPeriod table defines fiscal periods used for financial reporting, including start and end dates, and period statuses.
accountingperiodfiscalcalendars The AccountingPeriodFiscalCalendars table establishes relationships between accounting periods and fiscal calendars to ensure accurate period-based reporting.
accountLocalization The AccountLocalization table stores localized financial account settings, ensuring compliance with regional accounting regulations.
AccountSubsidiaryMap The AccountSubsidiaryMap table maps financial accounts to specific subsidiaries, allowing for accurate financial tracking within multi-entity organizations.
accountType The AccountType table categorizes accounts based on financial classification, such as assets, liabilities, income, and expenses.
activity A table that captures user and system-generated activities in NetSuite, including task assignments, calls, events, and follow-ups. This table supports audit trails, calendar integration, and activity-based workflows across customer relationship management (CRM) and project management modules.
address The Address table stores address details for entities such as customers, vendors, employees, and subsidiaries, supporting mailing and billing operations.
addressType The AddressType table defines different address classifications, such as shipping, billing, and residential, for proper usage in transactions and communications.
AdmissibilityPackageType The AdmissibilityPackageType table categorizes package types for customs and regulatory compliance in international shipping and trade.
advintercompanyjournalentry The AdvInterCompanyJournalEntry table manages advanced intercompany journal entries, facilitating financial adjustments between subsidiaries.
aggregateItemLocation The AggregateItemLocation table consolidates item availability data across multiple locations to support inventory planning and fulfillment processes.
alignOrHide The AlignOrHide table stores UI configuration settings related to alignment and visibility of fields in forms and reports.
allocationDetail The AllocationDetail table contains detailed records of financial allocations, specifying amounts and distribution methods across accounts.
allocationDetailJournalMap The AllocationDetailJournalMap table links allocation details to journal entries, ensuring accurate financial tracking and reporting.
AllocationMethod The AllocationMethod table defines different methods used for financial allocations, such as fixed percentages or dynamic calculations.
allocationschedule The AllocationSchedule table manages predefined schedules for financial allocations, ensuring consistent cost distribution over time.
allocationScheduleAllocationDetail The AllocationScheduleAllocationDetail table links allocation schedules to their corresponding detailed allocation records.
allocationScheduleAllocationDetailGeneralDetailDestination The AllocationScheduleAllocationDetailGeneralDetailDestination table defines the destination accounts for financial allocations within scheduled transactions.
allocationScheduleAllocationDetailGeneralDetailSource The AllocationScheduleAllocationDetailGeneralDetailSource table defines the source accounts for financial allocations within scheduled transactions.
allocationScheduleAllocationDetailJournalMap The AllocationScheduleAllocationDetailJournalMap table maps allocation schedule details to journal entries for proper financial reconciliation.
AllocationScheduleDestination The AllocationScheduleDestination table specifies the destination financial entities or accounts for scheduled allocations.
AllocationScheduleSource The AllocationScheduleSource table defines the originating financial accounts or cost centers for scheduled allocations.
amortizationschedule The AmortizationSchedule table outlines the periodic allocation of expenses related to prepaid assets, ensuring accurate financial reporting.
amortizationtemplate The AmortizationTemplate table stores predefined amortization rules and templates used for expense recognition over time.
AmortizationType The AmortizationType table categorizes different amortization methods, such as straight-line or declining balance, for financial planning and reporting.
ApplicabilityModeType The ApplicabilityModeType table defines various applicability modes used in system processes, determining how specific rules or configurations apply to transactions.
ApplicabilityReasonType The ApplicabilityReasonType table categorizes different reasons for applicability settings, ensuring clarity in compliance and business logic.
ApplicabilityStatusType The ApplicabilityStatusType table tracks the status of applicability settings, indicating whether a particular rule or condition is active, inactive, or pending.
applyDiscountTo The ApplyDiscountTo table specifies the targets of discount applications, such as specific items, orders, or customer groups.
ApprovalStatus The ApprovalStatus table maintains records of approval states for transactions, indicating whether they are pending, approved, or rejected.
assemblybuild The AssemblyBuild table stores records of assembly builds, tracking the conversion of components into finished goods through the production process.
assemblyitem The AssemblyItem table contains information about assembly items, which are manufactured products composed of multiple components.
assemblyitembom A table that stores Bill of Materials (BOM) configurations specifically for assembly items in NetSuite. This includes component relationships, quantity requirements, and structure definitions essential for manufacturing and inventory planning processes.
assemblyItemCorrelateditem The AssemblyItemCorrelatedItem table maintains relationships between related assembly items, aiding in recommendations and alternate selections.
assemblyItemItemAccountingBookDetail The AssemblyItemItemAccountingBookDetail table stores financial details of assembly items across different accounting books, ensuring compliance with multiple financial reporting standards.
assemblyItemItemQuantityPricingDiscount The AssemblyItemItemQuantityPricingDiscount table tracks volume-based discount structures for assembly items, defining how pricing changes with quantity breaks.
assemblyItemItemQuantityPricingLevel The AssemblyItemItemQuantityPricingLevel table stores pricing levels based on quantity tiers, ensuring accurate discount application for bulk purchases.
assemblyItemItemVendor The AssemblyItemItemVendor table manages vendor relationships for assembly items, recording preferred suppliers, cost structures, and sourcing details.
assemblyItemLocations The AssemblyItemLocations table tracks the availability of assembly items across different inventory locations, aiding in logistics and stock planning.
assemblyItemMember The AssemblyItemMember table defines the individual components that make up an assembly item, specifying quantities and roles within the finished product.
assemblyItemPresentationItem The AssemblyItemPresentationItem table manages presentation-related configurations for assembly items, such as catalog display and marketing attributes.
assemblyItemPrice The AssemblyItemPrice table stores price data for assembly items, including standard pricing, currency-specific rates, and promotional discounts.
assemblyItemQuantity The AssemblyItemQuantity table maintains records of stock levels for assembly items, ensuring accurate inventory tracking and replenishment planning.
assemblyItemSiteCategory The AssemblyItemSiteCategory table categorizes assembly items for e-commerce and internal classification, optimizing searchability and organization.
assemblyItemSubsidiaryMap The AssemblyItemSubsidiaryMap table links assembly items to specific subsidiaries, supporting multi-entity financial tracking and reporting.
assemblyItemTranslation The AssemblyItemTranslation table stores localized descriptions and attributes for assembly items, enabling multilingual support in global operations.
assemblyunbuild The AssemblyUnbuild table tracks the process of disassembling finished goods back into their component parts, used in reverse logistics or returns.
ATPMethodType The ATPMethodType table defines available-to-promise (ATP) calculation methods, determining how inventory commitments are assessed based on supply and demand.
Attendee The Attendee table records participants in events, meetings, and training sessions, tracking attendance and engagement details.
audienceDepartmentMap The AudienceDepartmentMap table links specific user audiences to departments, controlling access to resources and reports based on organizational structure.
audienceDepartmentMapClient The AudienceDepartmentMapClient table assigns client-side applications to department-based audiences, managing visibility and permissions.
audienceDepartmentMapMassUpdate The AudienceDepartmentMapMassUpdate table enables bulk updates of audience-to-department mappings, streamlining administrative changes.
audienceDepartmentMapPortlet The AudienceDepartmentMapPortlet table manages access to portlets (dashboard widgets) based on department-specific audience assignments.
audienceDepartmentMapRestlet The AudienceDepartmentMapRestlet table defines department-based access controls for RESTlet scripts, ensuring secure API interactions.
audienceDepartmentMapSuitelet The AudienceDepartmentMapSuitelet table governs access to Suitelet applications based on department-specific audience configurations.
audienceDepartmentMapUserEvent The AudienceDepartmentMapUserEvent table links user events to specific departments, ensuring that event-driven actions are restricted to designated organizational units.
audienceDepartmentMapWorkflow The AudienceDepartmentMapWorkflow table associates workflows with specific departments, controlling access and execution based on departmental structures.
audienceEmployeeMap The AudienceEmployeeMap table defines relationships between employees and designated system audiences, determining visibility and access control.
audienceEmployeeMapClient The AudienceEmployeeMapClient table assigns employee-based audience settings for client-side applications, managing personalized user experiences.
audienceEmployeeMapMassUpdate The AudienceEmployeeMapMassUpdate table enables bulk updates to employee-audience associations, streamlining administrative tasks.
audienceEmployeeMapPortlet The AudienceEmployeeMapPortlet table controls employee-based access to specific dashboard portlets, managing visibility and customization.
audienceEmployeeMapRestlet The AudienceEmployeeMapRestlet table governs API access for employees interacting with RESTlet scripts, ensuring appropriate permissions.
audienceEmployeeMapSuitelet The AudienceEmployeeMapSuitelet table manages employee-based permissions for Suitelet applications, defining access rules.
audienceEmployeeMapUserEvent The AudienceEmployeeMapUserEvent table regulates user event triggers based on employee audience assignments, enforcing access controls.
audienceEmployeeMapWorkflow The AudienceEmployeeMapWorkflow table assigns workflows to employee-specific audiences, ensuring role-based process automation.
audienceGroupMap The AudienceGroupMap table maintains mappings between user groups and audience settings, facilitating group-based access management.
audienceGroupMapClient The AudienceGroupMapClient table controls group-based access to client-side applications, ensuring personalized and role-based interactions.
audienceGroupMapMassUpdate The AudienceGroupMapMassUpdate table supports batch updates to group-audience assignments, streamlining administration.
audienceGroupMapPortlet The AudienceGroupMapPortlet table determines group-based visibility for dashboard portlets, managing UI customization.
audienceGroupMapRestlet The AudienceGroupMapRestlet table assigns RESTlet script access based on group-audience mappings, securing API interactions.
audienceGroupMapSuitelet The AudienceGroupMapSuitelet table defines group-based permissions for Suitelet applications, ensuring appropriate access levels.
audienceGroupMapUserEvent The AudienceGroupMapUserEvent table links user events to specific user groups, regulating event-driven actions.
audienceGroupMapWorkflow The AudienceGroupMapWorkflow table maps workflows to user groups, enabling role-based workflow execution.
audiencePartnerMap The AudiencePartnerMap table maintains mappings between partners and audience configurations, controlling partner-level access.
audiencePartnerMapClient The AudiencePartnerMapClient table manages partner-specific access to client-side applications, personalizing interactions.
audiencePartnerMapMassUpdate The AudiencePartnerMapMassUpdate table enables mass updates to partner-audience mappings, simplifying administrative tasks.
audiencePartnerMapPortlet The AudiencePartnerMapPortlet table controls partner access to dashboard portlets, ensuring appropriate UI configurations.
audiencePartnerMapRestlet The AudiencePartnerMapRestlet table defines partner-specific access rules for RESTlet API interactions, securing partner data exchanges.
audiencePartnerMapSuitelet The AudiencePartnerMapSuitelet table assigns Suitelet permissions to partners, regulating access to customized applications.
audiencePartnerMapUserEvent The AudiencePartnerMapUserEvent table links user events to partners, ensuring event-triggered actions follow partner-based access rules.
audiencePartnerMapWorkflow The AudiencePartnerMapWorkflow table regulates workflow assignments based on partner-specific audience settings.
audienceRoleMap The AudienceRoleMap table maintains mappings between system roles and audience configurations, ensuring role-based access control.
audienceRoleMapClient The AudienceRoleMapClient table assigns client-side application access based on user roles, managing UI interactions.
audienceRoleMapMassUpdate The AudienceRoleMapMassUpdate table allows for bulk updates to role-based audience assignments, improving administrative efficiency.
audienceRoleMapPortlet The AudienceRoleMapPortlet table controls role-based access to dashboard portlets, ensuring appropriate UI visibility.
audienceRoleMapRestlet The AudienceRoleMapRestlet table defines role-specific access permissions for RESTlet scripts, securing API interactions.
audienceRoleMapSuitelet The AudienceRoleMapSuitelet table governs access to Suitelet applications based on assigned user roles.
audienceRoleMapUserEvent The AudienceRoleMapUserEvent table links user events to roles, enabling event-driven actions based on assigned permissions.
audienceRoleMapWorkflow The AudienceRoleMapWorkflow table manages workflow execution based on system roles, ensuring process automation aligns with permissions.
audienceSubsidiaryMap The AudienceSubsidiaryMap table defines mappings between subsidiaries and audience configurations, regulating subsidiary-level access.
audienceSubsidiaryMapClient The AudienceSubsidiaryMapClient table assigns client-side application access based on subsidiary-level audience settings.
audienceSubsidiaryMapMassUpdate The AudienceSubsidiaryMapMassUpdate table facilitates mass updates to subsidiary-based audience mappings.
audienceSubsidiaryMapPortlet The AudienceSubsidiaryMapPortlet table controls subsidiary-based access to dashboard portlets, managing UI customization.
audienceSubsidiaryMapRestlet The AudienceSubsidiaryMapRestlet table governs subsidiary-based access rules for RESTlet API interactions.
audienceSubsidiaryMapSuitelet The AudienceSubsidiaryMapSuitelet table assigns Suitelet application permissions based on subsidiary-level audience settings.
audienceSubsidiaryMapUserEvent The AudienceSubsidiaryMapUserEvent table links user events to subsidiaries, ensuring event-driven actions align with subsidiary-based access rules.
audienceSubsidiaryMapWorkflow The AudienceSubsidiaryMapWorkflow table maps workflow execution to subsidiary-level audience configurations.
AuthenticateDeviceInput The AuthenticateDeviceInput table stores authentication request data for device verification processes, ensuring secure user logins.
AuthenticateDeviceResult The AuthenticateDeviceResult table records the outcomes of device authentication attempts, including success or failure details.
AuthenticationField The AuthenticationField table defines security-related data fields used in authentication processes, ensuring standardized credential validation.
automatedclearinghouse The AutomatedClearingHouse table manages electronic funds transfer (EFT) transactions, facilitating ACH payments and settlements.
balancetrxbysegments Stores balance transaction data segmented by specific financial criteria such as department, location, and class.
billingaccount Represents customer billing accounts, tracking payments, invoices, and account balances.
billingclass Defines different billing classifications used for grouping and managing billing transactions.
billingClassPriceCost Stores pricing and cost information associated with different billing classes.
BillingMilestone Tracks key milestones for billing events, such as installment due dates or progress-based payments.
billingratecard Contains details about predefined billing rates for services, resources, or products.
BillingRateCardPriceMultiForSearch Provides multi-level search functionality for pricing data within billing rate cards.
BillingRateCardVersion Maintains different versions of billing rate cards to support rate updates and historical pricing.
billingrevenueevent Logs revenue recognition events related to billing transactions, ensuring compliance with revenue accounting standards.
billingschedule Defines billing schedules for customers, contracts, or projects, outlining invoice generation timelines.
billingScheduleMilestone Stores milestone-based billing schedules that trigger invoices upon reaching predefined conditions.
billingScheduleRecurrence Manages recurring billing schedules for subscriptions, leases, and installment payments.
billingScheduleRecurrencePattern Defines the recurrence patterns for billing schedules, such as monthly, quarterly, or annually.
BillingScheduleType Categorizes billing schedules based on frequency, milestone triggers, or contractual obligations.
billOfDistribution Stores distribution plans for inventory or resources, outlining how goods are allocated across locations.
billOfDistributionDistributionSource Tracks the sources from which distributed inventory or resources originate.
BillVarianceStatus Captures variances in billing amounts due to changes in contract terms, pricing adjustments, or errors.
bin Represents physical storage locations within a warehouse or inventory management system.
bintransfer Logs the movement of inventory items between different storage bins within a warehouse.
binworksheet Used to track and manage bin-level inventory adjustments and cycle counting.
blanketpurchaseorder Stores details of blanket purchase orders, allowing businesses to pre-authorize multiple purchases with a vendor over time.
blanketPurchaseOrderExpenseMachine Tracks expense allocation and categorization for blanket purchase orders.
bom Maintains Bill of Materials (BOM) information, detailing component requirements for manufacturing processes.
bomAssembly Links bill of materials (BOM) records to assembly processes, defining the materials required for product assembly.
bomrevision Stores historical and current revisions of the bill of materials (BOM), supporting engineering change management.
bomrevisioncomponent Tracks specific component changes across different bill of materials (BOM) revisions.
bonus Records employee or sales representative bonuses based on performance metrics or predefined criteria.
bonustype Defines different types of bonuses, such as commission-based, milestone-based, or annual bonuses.
budgetcategory Classifies budget entries into categories for better financial planning and expense tracking.
budgetexchangerate Manages exchange rates applied to budget calculations in multi-currency environments.
budgetimport Facilitates the import of budget data from external sources into NetSuite.
budgetlegacy Stores historical budget records from legacy financial systems or prior fiscal years.
budgets Contains overall budget data for departments, projects, or business units.
budgetsMachine Automates the budget allocation process based on predefined rules or machine-learning insights.
bulkownershiptransfer Manages the mass transfer of ownership for assets, accounts, or transactions.
bundleinstallationscript Logs scripts used for deploying software bundles and system configurations in NetSuite.
BusinessEventHandler Captures business event triggers and associated actions, such as automated workflows or notifications.
BusinessEventHandlerFeedDetailType Defines the structure and data format of event feeds generated by business event handlers.
BusinessEventHandlerFeedStatus Monitors the processing status of business event feeds, tracking success or failure.
BusinessEventType Categorizes different types of business events, such as sales transactions, inventory updates, or customer interactions.
button Defines UI buttons used within NetSuite scripts and custom applications.
CalculateDiscountType This table defines the different types of discount calculations used within NetSuite. It outlines how discounts are applied to transactions, including conditions and rules.
calendarevent Stores details about events scheduled in the calendar, such as meeting times, event types, and associated tasks or reminders for users.
campaign Tracks information related to marketing campaigns, including the campaign's name, target audience, start and end dates, and overall goals.
campaignevent Contains data related to specific events that are part of a larger campaign, such as webinars, promotional events, or marketing meetings.
campaignEventResponse Stores the responses received from recipients who participated in a campaign event, such as registrations, feedback, or other interactive actions.
campaignresponse Holds detailed records of all responses from participants in a campaign, tracking their engagement with the event or campaign content.
campaignResponseHistoryEntry Tracks historical changes to campaign responses, allowing users to see how interactions with campaigns evolve over time.
campaigntemplate Defines templates for creating campaigns in NetSuite, ensuring consistency in campaign design and content by providing a standard structure.
CardholderAuthBillAddress Contains billing address details associated with cardholder authentication during a transaction, ensuring the correct address is linked to the payment.
cardholderauthentication Records the authentication details for credit card transactions, including the status of the verification process and results of authentication checks.
CardholderAuthenticationEvent Logs events related to the cardholder authentication process, tracking each step of the verification and authorization procedure for payments.
CardholderAuthenticationEventList Holds a list of events triggered during cardholder authentication, providing a detailed transaction history for security audits.
CardholderAuthenticationStatus Stores the current status of cardholder authentication for transactions, allowing for tracking of successful or failed verifications.
CardholderAuthShipAddress Contains shipping address details related to cardholder authentication, ensuring that the address used during payment is correctly verified.
CartSortOrder Defines the sorting order for items in the shopping cart, helping to manage product display and arrangement for customer transactions.
cashrefund Tracks cash refunds issued to customers, including the amount, reason for the refund, and associated transaction details.
cashRefundBillingAddress Contains billing address details for cash refunds, ensuring that the refund is processed to the correct customer account.
cashRefundPartner Stores information about the partner associated with a cash refund, often used in commission or partnership-based systems.
cashRefundSalesTeam Records the sales team responsible for a cash refund transaction, ensuring proper attribution for sales performance.
cashRefundShippingAddress Contains shipping address information for cash refunds, ensuring accurate delivery and processing of refund-related shipments.
cashRefundTranPromotion Tracks promotions applied to cash refund transactions, ensuring that refunds are aligned with marketing or discount offers.
cashsale Stores records for cash sales transactions, including item details, prices, and associated payment methods.
cashSaleBillingAddress Contains billing address details for cash sales, ensuring proper invoicing and account tracking for customers.
cashSaleGiftCertRedemption Tracks the redemption of gift certificates during cash sales, ensuring the value of the certificate is properly applied to the transaction.
cashSaleItemShippingAddress Stores shipping address information for individual items in a cash sale, useful for managing multi-shipment sales.
cashSalePartner Records the partner involved in a cash sale, often used for commission tracking or partnership-related sales.
cashSaleSalesTeam Contains information about the sales team responsible for a particular cash sale, aiding in performance tracking.
cashSaleShippingAddress Tracks the shipping address for cash sales, ensuring that the correct address is used for delivery.
cashSaleTrackingNumberMap Maps tracking numbers to cash sale transactions, allowing users to track the delivery of products sold.
cashSaleTranPromotion Stores information about promotions applied to cash sale transactions, ensuring the correct discount or offer is applied during checkout.
category1099misc Tracks categories for 1099-MISC reporting in compliance with tax regulations, categorizing payments to vendors and contractors.
CcBccRecipient Stores the recipients of carbon copied (CCed) and blind carbon copied (BCCed) emails for communications sent through the system, allowing for tracking of all email recipients.
CenterType Defines the types of centers (for example, warehouse, office) within the system, supporting inventory and resource management.
ChallengeShopperInput Stores the input data related to challenge shoppers, often used for security or verification purposes in transactions.
ChallengeShopperResult Records the results of challenge shopper interactions, used for fraud prevention and ensuring compliance with security protocols.
ChallengeWindowSize Tracks the window size used for challenge shopper verifications, ensuring proper parameters are applied during authentication.
charge Contains information about charges, including transaction details, amounts, and applicable fees for customer transactions.
Chargebillingmodetype Defines the billing modes for charges, allowing for different payment terms, such as one-time payments or recurring billing.
chargerule Stores rules governing how charges are applied, including conditions for discounts, taxes, and charge modifications.
ChargeRun Records details of charge runs, which group and apply charges based on predefined criteria, such as date ranges or billing cycles.
Chargestagetype Defines the different types of charge stages, such as pending, completed, or failed, allowing for tracking of charge statuses.
chargeType Contains information about the different types of charges, helping classify and manage how charges are processed in the system.
chargeTypeTranslations Stores translations for charge types, enabling multi-language support for international transactions.
Chargeuse Defines the uses for different charges, ensuring charges are applied appropriately based on the type of transaction or service.
check Tracks details of checks issued in payments, including amounts, payee information, and related bank accounts.
CheckExpenseMachine Stores information on checks related to expense machines, used for automating payments in specific business processes.
checkPayeeAddress Contains the payee address information for checks, ensuring accurate delivery and handling of physical payments.
classification Defines the classification system used for categorizing different records within the platform, such as customer types or item categories.
clientscript Stores client-side script details used for customizing user interfaces and interactions within NetSuite.
cmscontent Tracks content related to the Content Management System (CMS) in NetSuite, allowing for dynamic content management across websites.
cmscontenttype Defines the different types of content managed within the Content Management System (CMS), supporting categorization and organization of digital assets.
cmspage Stores information about Content Management System (CMS) pages, such as their layout, content, and associated metadata, used for website management.
commercecategory Organizes items into categories for easier navigation and search within the NetSuite Commerce platform.
CommissionPaymentType Defines the types of commission payments, such as percentage-based or flat-rate, for sales team members.
CompanyAddressbook Stores address information for companies, helping manage billing, shipping, and contact details for business accounts.
CompanyAddressbookEntityAddress Links company address book entries to entities, enabling precise tracking of locations associated with a company.
CompanyBulkMerge Facilitates bulk merging of company records in NetSuite, helping to consolidate duplicate entries for better data management.
CompanyCampaigns Links companies to specific campaigns, helping track campaign performance and engagement by company.
CompanyCompanyContact Stores contact information for companies, allowing for efficient management of company-specific contacts and relationships.
competitor Stores competitor information, including industry, strengths, weaknesses, and competitive positioning.
CompetitorOpportunity Tracks opportunities where competitors are involved, helping assess the competitive landscape and identify strategic gaps.
consolidatedexchangerate Stores consolidated exchange rate information for multiple currencies, helping facilitate global financial reporting.
ConsolidatedRateType Defines the different types of consolidated exchange rates used for various accounting purposes in global operations.
contact Stores contact details for individuals, including names, roles, communication preferences, and associated accounts.
ContactAddressbook Holds contact address information for individuals, ensuring accurate billing and shipping details for each contact.
ContactAddressbookEntityAddress Links contact address book entries to entities, ensuring precise address handling for each contact.
ContactBulkMerge Facilitates bulk merging of contact records in NetSuite, helping to clean up and consolidate duplicate contact information.
contactcategory Stores categories for organizing contacts, such as leads, customers, and partners, for better data management.
ContactContactCampaigns Links contacts to specific campaigns, tracking their involvement and engagement with marketing activities.
ContactContactTypeMap Maps contacts to different types of relationships or roles within campaigns or sales, such as decision-makers or influencers.
contactrole Defines the roles contacts play within accounts or projects, such as primary contact, decision-maker, or support.
ContactSubscriptionMessageHistory Tracks the history of subscription messages sent to contacts, helping monitor engagement and communication history.
ContactSubscriptions Stores information about contact subscriptions, tracking preferences and the frequency of communications for each individual.
ContactSubsidiaryRelationship Tracks relationships between contacts and subsidiaries, allowing for proper segmentation and targeting in multi-subsidiary setups.
controlTowerSourceType Defines the different source types for control towers within NetSuite, used to classify and manage source data flows in complex business processes.
costcategory Stores categories for tracking and managing costs within the system, helping organizations classify and analyze expenses.
CostCategoryType Defines the various types of cost categories, such as fixed costs or variable costs, for more accurate cost tracking and reporting.
CostEstimateType Contains information about different types of cost estimates used in NetSuite, including labor, material, and overhead estimates for projects.
CostingMethodType Defines the different costing methods, such as standard cost or actual cost, used for valuing inventory and determining the cost of goods sold.
Country Defines countries along with related metadata such as default locale, time zone, and nationality settings.
couponcode Tracks coupon codes used in promotional campaigns, including details like discount value, validity period, and eligible products or services.
CreditCardCharge Stores data related to credit card charges, including transaction amounts, processing status, and payment methods used for customer purchases.
CreditCardChargeExpenseMachine Links credit card charges to expense machines, enabling automated allocation and management of payment transactions in business processes.
CreditCardRefund Contains records of credit card refunds issued to customers, including amounts refunded, refund status, and associated transaction details.
CreditCardRefundExpenseMachine Tracks credit card refund transactions linked to expense machines, enabling proper handling and reporting of returned payments.
Creditholdoverridetype Defines different types of credit hold overrides, allowing businesses to manage exceptions to credit hold policies based on specific criteria.
creditmemo Stores credit memo records, which are issued to customers when an amount is credited back to their account, often due to returns or billing errors.
creditMemoBillingAddress Contains the billing address associated with credit memos, ensuring that the credit is applied to the correct customer account.
creditMemoItemShippingAddress Stores the shipping address associated with items listed in a credit memo, used for returns or exchanges in physical transactions.
creditMemoPartner Links credit memos to specific partners, helping track commission or partnership-based credits issued to customers.
creditMemoSalesTeam Stores information about the sales team associated with a credit memo, often used for commission tracking or sales performance evaluation.
creditMemoShipGroup Organizes items from credit memos into shipping groups, allowing for easier management and processing of return shipments.
creditMemoShippingAddress Contains the shipping address information for credit memos, used to direct returned goods or refunds to the correct location.
creditMemoTranPromotion Tracks promotions applied to credit memo transactions, ensuring that discounts or special offers are properly applied during the refund process.
CrmTemplateType Defines different types of Customer Relationship Management (CRM) templates used within NetSuite for consistent and efficient Customer Relationship Management.
currency Stores information about the different currencies supported in NetSuite, including currency symbols, names, and exchange rate details.
currencyrate Tracks exchange rates between different currencies, enabling accurate conversion for international transactions and financial reporting.
CurrencyRateType Defines different types of currency rates used within NetSuite, such as spot rates, historical rates, or forecast rates.
CurrencySymbolPlacement Stores information about the placement of currency symbols in NetSuite, supporting global financial reporting with region-specific formats.
customer Tracks detailed customer information, including contact details, account status, and transaction history for billing and Customer Relationship Management.
customerAddressbook Holds address records associated with customers, supporting accurate billing and shipping address management for transactions.
customerAddressbookEntityAddress Links customer address book entries to specific entities, allowing for more granular tracking and management of customer addresses.
customerBulkMerge Facilitates the bulk merging of customer records, consolidating duplicate entries for more efficient data management and reporting.
customerCampaigns Links customers to specific campaigns, helping track engagement and performance of marketing efforts targeted at individual customers.
customercategory Categorizes customers based on various criteria, such as industry, size, or region, for easier segmentation and marketing.
customerCompanyContact Links customers to specific company contacts, allowing for better organization of communication and relationship management.
customerContactRole Defines the roles that contacts play within customer organizations, such as decision-maker, influencer, or support contact.
customerCurrencyBalance Tracks currency balances for customers, ensuring accurate reporting of outstanding amounts in different currencies.
customerdeposit Stores details of customer deposits, which are prepayments made by customers for future goods or services.
customerEftAcct Holds information about customer EFT (Electronic Funds Transfer) accounts, enabling seamless payments and transactions.
CustomerGroupPricing Defines pricing rules for customer groups, allowing businesses to apply special pricing based on customer classification or membership.
customerItemPricing Tracks item-level pricing for customers, ensuring that products are sold at the correct price according to customer-specific agreements.
customermessage Stores messages sent to customers, including notifications, alerts, and communications related to their account or transactions.
CustomerPartner Links customers to their associated partners, enabling better management of partnership relationships and sales performance.
customerpayment Records customer payments, including payment method, amount, and related transaction details, supporting accurate account management.
customerpaymentauthorization Tracks authorization details for customer payments, ensuring that payments are processed correctly and securely.
customerrefund Records customer refunds, including refund amounts and reasons, to ensure proper accounting for returned goods or overpayments.
customerRefundPayeeAddress Contains the payee address information for customer refunds, ensuring that refunds are sent to the correct address.
customerSalesTeam Stores information about the sales team responsible for managing customer accounts, used for commission tracking and sales performance.
CustomerSegmentCustomer Links customers to specific market segments, enabling targeted marketing and personalized sales strategies.
customerstatus Tracks the status of customer accounts, such as active, inactive, or on hold, for better account management and reporting.
customerSubscriptionMessageHistory Stores historical records of messages sent to customers regarding their subscriptions, tracking communication efforts.
customerSubscriptions Tracks customer subscriptions, including subscription type, duration, and status, enabling efficient subscription management.
customersubsidiaryrelationship Manages the relationships between customers and subsidiaries, supporting multi-subsidiary operations and reporting.
CustomField Defines custom fields that can be added to records across NetSuite, allowing for personalized data capture and reporting.
CustomField2 An extension of the CustomField table, offering additional custom fields for users to track unique data on records.
customInstallmentPercent Tracks custom installment percentages for transactions, enabling flexible payment plans and installment management.
customlist Stores custom lists created by users to categorize and organize records, such as specific item types or customer classifications.
customPluginTypesAction Stores configurations for custom plugin actions, used to extend NetSuite functionality with customized processes and interactions.
customPluginTypesBundleInstallation Defines the installation settings for custom plugins within NetSuite bundles, ensuring proper deployment of custom features.
customPluginTypesMapReduce Contains settings for Map/Reduce scripts used in custom plugins, enabling large-scale data processing within NetSuite.
customPluginTypesPortlet Stores configurations for custom portlets, allowing users to extend the NetSuite interface with custom widgets and tools.
customPluginTypesRestlet Defines configurations for Restlet-based plugins, enabling external systems to interact with NetSuite via REST APIs.
customPluginTypesScheduled Contains details for custom scheduled scripts, allowing users to automate processes and tasks on a recurring basis.
customPluginTypesSuitelet Defines Suitelet-based custom plugins, enabling the creation of custom pages and user interfaces within NetSuite.
customPluginTypesUserEvent Stores configurations for User Event scripts in custom plugins, enabling users to trigger specific actions based on record events.
custompurchase Tracks custom purchase records, including item details, suppliers, and purchase terms, tailored to specific business processes.
customrecordtype Defines custom record types created by users, allowing for the storage of unique data not covered by standard NetSuite records.
customsale Stores custom sale records, enabling businesses to track non-standard sales transactions, including unique pricing or terms.
customsegment Defines custom segments used to categorize data within NetSuite, such as sales regions, departments, or product types.
CustomTransactionType Stores custom transaction types, allowing businesses to track and categorize transactions that don't fit into standard NetSuite categories.
DayOfWeek A table that stores information related to the days of the week, used for tracking and organizing time-based data such as scheduling or time reporting.
deletedrecord This table tracks records that have been deleted, often used for auditing and recovery purposes to maintain a history of removed data.
department A table that contains details about the departments within an organization, used for categorizing and organizing personnel, expenses, and tasks.
departmentSubsidiaryMap This table maps departments to subsidiaries, allowing for proper organizational structure and reporting across different company units.
deploymentsAction Stores actions taken during deployments, used for tracking progress, execution steps, and managing the deployment lifecycle.
deploymentsBundleInstallation Tracks bundle installations during deployments, helping to manage software packages and configuration updates in the system.
deploymentsClient Contains data on clients associated with deployments, used for client-specific tracking and management of deployment activities.
deploymentsMapReduce Tracks the MapReduce jobs related to deployments, used for processing large amounts of data in a distributed fashion within the deployment process.
deploymentsMassUpdate Contains information on mass updates performed during deployments, used for tracking bulk data changes across systems.
deploymentsPortlet Stores data about portlets used during deployments, aiding in the configuration and management of dynamic content in user interfaces.
deploymentsRestlet Tracks Restlet endpoints used during deployments, allowing for integration between systems through RESTful APIs.
deploymentsScheduled Contains data about scheduled deployments, used for planning and automating the timing of deployment tasks.
deploymentsScript Tracks scripts involved in deployments, used for automating processes and customizing system behavior during deployment events.
deploymentsSuitelet Stores details about Suitelets used during deployments, which are custom UI pages built for specific business needs.
deploymentsUserEvent Contains information on user events triggered during deployments, enabling event-driven processes and custom user interaction during deployments.
deposit The deposit table tracks funds deposited into the system, used for managing cash flow and financial transactions.
depositapplication Tracks deposit applications, used to apply deposits against customer invoices or other accounts in the system.
descriptionitem Contains items used in the system's product catalog or other descriptions, aiding in categorizing and managing inventory and services.
descriptionItemSubsidiaryMap Maps description items to subsidiaries, helping manage product availability and sales by subsidiary across multiple locations.
descriptionItemTranslation Stores translations of description items for multi-lingual support, enabling businesses to present product information in various languages.
discountitem Tracks discount items, used to apply specific discounts to products, services, or orders based on defined criteria.
discountItemSubsidiaryMap Maps discount items to subsidiaries, allowing businesses to apply different discount structures based on subsidiary or regional settings.
discountItemTranslation Stores translations for discount items, enabling multi-lingual support for pricing and discounts in global markets.
distributionCategory The distribution category table classifies products or services for better inventory management and sales reporting.
distributionNetwork Tracks distribution networks, used to manage the logistics and supply chain for delivering goods or services to customers.
distributionNetworkDistributionCategory Maps distribution networks to distribution categories, facilitating efficient resource allocation and delivery management.
distributionnetworksubsidiary Maps distribution networks to subsidiaries, helping manage regional supply chains and logistics.
downloaditem Contains information on items available for download, typically used for tracking downloadable products or resources.
downloadItemCorrelateditem Tracks items correlated with downloadable items, used for product bundles or related downloads.
downloadItemItemAccountingBookDetail Stores detailed accounting data for downloadable items, used to manage financial tracking and reporting.
downloadItemItemQuantityPricingDiscount Contains discount information related to downloadable items based on quantity purchased, helping manage pricing strategies.
downloadItemItemQuantityPricingLevel Stores pricing levels for downloadable items based on quantity, used to set tiered pricing strategies.
downloadItemPresentationItem Tracks presentation data for downloadable items, typically used to manage how items are displayed or presented in sales or marketing materials.
downloadItemPrice Contains pricing details for downloadable items, enabling dynamic pricing and promotional offers.
downloadItemQuantity Tracks the quantity of downloadable items available, helping manage inventory and stock levels.
downloadItemSiteCategory Maps downloadable items to website categories, helping organize and display them on online platforms.
downloadItemSubsidiaryMap Maps downloadable items to subsidiaries, enabling location-specific offerings and pricing strategies.
downloadItemTranslation Stores translations of downloadable item information for multi-lingual e-commerce and marketing.
EffectivityBasedOnType Defines the rules and criteria for product effectiveness, helping manage product availability based on conditions like time, location, or quantity.
EmailPreferenceType Stores various email preference types, enabling customers to manage communication preferences with the business.
emailtemplate Contains email templates used in system-generated communications, facilitating consistent messaging across different processes.
employee Tracks employee records, storing personal and professional details for HR, payroll, and management purposes.
employeeAccruedTime Stores data related to accrued time for employees, such as vacation or sick leave, to manage employee benefits.
employeeAddressbook Contains employee address book entries, enabling communication and contact management for employees.
employeeAddressbookEntityAddress Links employee address book entries to specific entity addresses, ensuring proper contact information is stored and accessible.
employeeBulkMerge Handles bulk merging of employee records, typically used for mass updates or corrections across employee databases.
employeeCampaigns Tracks employee participation in campaigns or programs, enabling HR or marketing teams to manage internal initiatives.
employeechangerequest Stores records of employee change requests, including role changes, benefit updates, or other HR-related modifications.
employeechangerequesttype Defines the types of employee change requests, such as address updates, promotions, or compensation changes.
employeeCompanyContribution Tracks contributions made by the company on behalf of employees, such as retirement or health benefits.
employeeDeduction Stores information about employee deductions, such as taxes, insurance, or retirement contributions.
employeeEarning Records employee earnings, including salary, bonuses, or commissions, used for payroll and tax purposes.
employeeEmergencyContact Contains emergency contact information for employees, critical for HR and safety procedures.
employeeEmpPerms Manages employee permissions, determining access levels to systems and resources based on role or department.
EmployeeExpenseReportCurrencies Tracks the currencies used in employee expense reports, allowing for multi-currency reporting and reimbursement.
employeeexpensesourcetype Defines the types of sources from which employee expenses originate, such as travel, meals, or supplies.
EmployeeFilingStatus Stores the filing status of employees for tax purposes, used in payroll calculations and benefits administration.
employeeHCMPosition Tracks employee positions within the Human Capital Management (HCM) system, helping HR manage job titles and responsibilities.
employeeHrEducation Contains records of employee educational backgrounds, used for HR and career development planning.
employeeListPresItemPresCategory Maps employee list items to presentation categories, used for organizing and displaying employee-related information.
employeeListSiteCategoryTagSubstitution Maps employee list items to site categories and tags, enabling dynamic content customization on employee-related webpages.
employeeListSiteCategoryTranslationEmployeeList Stores translations of employee list items for multi-lingual websites or global employee directories.
employeeroles Defines employee roles within the organization, used to assign job responsibilities and manage access controls.
employeerolesforsearch Helps categorize employee roles for use in search functions, enabling more efficient querying of employee data based on role.
employeestatus Stores the status of employees, such as 'Active', 'On Leave', or 'Inactive', to track employment conditions.
employeeSubscriptionMessageHistory Tracks messages sent to employees regarding subscriptions or benefits, helping HR manage employee communications.
employeeSubscriptions Contains records of employee subscriptions to various benefits, services, or company programs.
EmployeeSubsidiaryRelationship Maps employees to subsidiaries, allowing for management of employee data across multiple company locations.
employeeTaxOptions Tracks the tax options chosen by employees, including exemptions, allowances, and deductions, used for payroll processing.
employeetype Defines the types of employees, such as 'Full-Time', 'Part-Time', 'Contract', used for HR and payroll classifications.
entity Contains information on entities such as customers, suppliers, or other business relationships in the system.
entityaccountmapping Maps entities to specific accounts, ensuring proper financial tracking and reporting across business relationships.
EntityAddress Stores addresses related to entities, ensuring that customer, supplier, or other business location information is available for transactions.
entityAddressbook Manages address book entries for entities, enabling streamlined communication and service delivery.
entityBulkMerge Facilitates the bulk merging of entity records, often used to clean up or consolidate data across entities.
entitygroup Contains information on entity groups, used for organizing entities into specific categories for reporting or business purposes.
entityGroupBulkMerge Handles the bulk merging of entity groups, typically used for consolidating or updating group memberships.
entityGroupCampaigns Tracks campaigns associated with entity groups, used to manage targeted marketing or outreach efforts.
entityGroupMember Maps entities to group memberships, used to track and manage entities participating in specific groups.
entityGroupType Defines the types of entity groups, such as 'Customer Group', 'Supplier Group', or 'Employee Group', used for classification.
entityListType Defines the different types of entity lists, helping to organize and categorize entities for better management.
entityRate Stores entity-specific rate information, used for tracking pricing or fee structures based on entity characteristics.
EntityStage Defines the various stages of an entity's lifecycle, such as 'Lead', 'Prospect', or 'Customer', used in sales and CRM processes.
EntityStatus Tracks the current status of entities, such as 'Active', 'Inactive', or 'Prospective', used for reporting and management.
EntitySubsidiaryRelationship Maps entities to subsidiaries, helping to manage operations and transactions across multiple company units.
estimate Stores estimates for customer transactions, used for forecasting revenue and tracking pricing before final sale.
estimateBillingAddress Tracks billing address details for customer estimates, ensuring accurate invoicing and payment collection.
estimateItemShippingAddress Stores shipping address information for items included in estimates, ensuring proper delivery details are captured.
estimatePartner Associates partners with estimates, used for tracking collaborative efforts and revenue sharing on deals.
estimateSalesTeam Stores information on the sales team associated with an estimate, used for commission tracking and performance analysis.
estimateShipGroup Tracks shipping groups associated with estimates, used for managing multiple shipping locations or methods in a single deal.
estimateShippingAddress Stores shipping address details for estimates, ensuring that products are sent to the correct location for fulfillment.
estimateTranPromotion Tracks promotional discounts or offers applied to estimates, helping to manage pricing strategies and customer incentives.
EventDowim Defines event data related to Dowim events, used to track event occurrences and associated metrics.
EventFrequency Tracks event frequencies, used to manage recurring events, such as sales campaigns, scheduled meetings, or promotions.
EventPriority Stores the priority level of events, used for scheduling and determining the importance of various events in the system.
EventType Defines the types of events, such as 'Webinar', 'Conference', or 'Meeting', used for organizing and managing event details.
excludeLocationRegionItem Tracks items excluded from certain location regions, used for managing inventory availability across geographic areas.
executionContext Defines the context in which a transaction or process is executed, helping to track and manage system behavior during operations.
expenseamortizationevent Stores data on expense amortization events, used for managing and recording the spreading of expense costs over time.
expensecategory Tracks categories of expenses, used for organizing and classifying financial data across business operations.
ExpenseCategoryRate Stores the rates associated with each expense category, helping to apply standard rates to expenses within defined categories.
ExpenseCategoryTranslation Stores translations of expense category names, enabling multi-lingual support and international accounting.
expenseItemSubsidiaryMap Maps expense items to subsidiaries, helping to manage and report on expenses across different company units.
expenseItemTranslation Stores translations of expense item descriptions, enabling businesses to manage expenses in multiple languages.
expenseMachine Tracks machine-related expenses, typically used for manufacturing or operational equipment costs.
expenseplan Defines the structure of an expense plan, used to manage budgeting, forecasting, and cost tracking for business operations.
expensereport Tracks employee expense reports, used for submission, approval, and reimbursement of employee-incurred expenses.
expensereportpolicy Stores policies governing employee expense reporting, ensuring compliance with company guidelines and regulations.
fairvalueprice Stores fair value pricing data used in financial reporting and compliance calculations.
FairValueRangePolicy Defines policies for acceptable fair value pricing ranges based on financial regulations.
FaxTemplate Manages predefined fax templates used for business communications and document transmission.
file Tracks files stored in the NetSuite file cabinet, including metadata and permissions.
FileHits Records file access and download statistics to monitor usage and compliance.
financialinstitution Stores details of financial institutions, including banks and payment providers.
FirstRunTimeSelect Tracks the first execution of specific processes for system monitoring and auditing.
fixedamountprojectrevenuerule Manages fixed-amount revenue recognition rules for project-based billing.
folder Stores hierarchical folder structures used in the NetSuite file cabinet for organizing documents.
FolderType Categorizes different types of folders used for file organization within the system.
Forecast Stores sales and revenue forecasts to support business planning and projections.
ForecastType Defines different forecast types used in sales and financial planning.
formatprofile Manages data formatting profiles used for import/export operations and reporting.
FrequencyType Categorizes different frequency intervals for recurring processes, such as reporting schedules.
FulfillmentChoice Tracks available fulfillment methods for processing sales orders and shipments.
FulfillmentExceptionType Defines different types of fulfillment exceptions, such as delays or inventory shortages.
fulfillmentrequest Stores customer fulfillment requests and tracks order processing status.
FulfillmentRequestType Categorizes different types of fulfillment requests, such as standard, expedited, or backorder.
FXRATEUPDATEZONE Manages foreign exchange rate updates for different geographical regions.
gatewayNotification Stores notifications related to payment gateway transactions and processing statuses.
gatewayTokenFamily Groups related payment gateway tokens used for transaction security and recurring payments.
generalAllocationSchedule Tracks schedules for general ledger allocations based on predefined rules.
generalAllocationScheduleJournalCreatedByAllocation Links general ledger allocation schedules to corresponding journal entries.
GeneralDetailDestination Stores allocation destination details for financial transactions and reporting.
GeneralDetailSource Tracks the source of allocated financial data within general ledger processes.
generalizedItem Manages generic inventory items that can be used across multiple product categories.
GeneralScheduleDestination Defines financial allocation destinations for scheduled transactions.
GeneralScheduleSource Identifies the sources of scheduled general ledger allocations.
generaltoken Stores generic authentication and security tokens used for various system operations.
generalTokenPaymentOperationMap Maps payment operations to general tokens for secure processing of transactions.
genericCampaignEventResponse Stores responses from campaign events, tracking engagement and interactions.
genericCampaignItem Manages campaign items used in marketing campaigns, including emails and promotional offers.
genericresource Tracks generic resources such as unassigned personnel or shared assets for project planning.
GenericResourceSubsidiaryRelationship Links generic resources to subsidiaries, managing multi-entity resource allocation.
giftcertificate Stores issued gift certificates, including balances, expiration dates, and usage history.
giftcertificateitem Manages gift certificate items that can be sold or redeemed within transactions.
GiftCertificateItemAuthorizationCodes Tracks authorization codes associated with gift certificate items for secure transactions.
giftCertificateItemCorrelateditem Associates gift certificate items with related products or services.
giftCertificateItemPresentationItem Manages the visual presentation of gift certificate items in online and printed catalogs.
giftCertificateItemPrice Stores pricing details of gift certificate items, including discounts and promotional rates.
giftCertificateItemQuantity Tracks the available quantity of gift certificate items for sales and fulfillment.
giftCertificateItemSiteCategory Associates gift certificate items with specific e-commerce site categories.
giftCertificateItemSubsidiaryMap Maps gift certificate items to subsidiaries for financial and inventory tracking.
giftCertificateItemTranslation Stores translated names and descriptions for gift certificate items in multiple languages.
glnumberingsequence Tracks general ledger numbering sequences for financial reporting and compliance.
globalaccountmapping Manages global account mappings used in multi-entity financial consolidations.
globalinventoryrelationship Tracks relationships between global inventory locations for supply chain management.
goal Stores performance goals for employees, teams, and departments within the organization.
Hcmterminationcategory Categorizes employee termination reasons for human capital management reporting.
importedemployeeexpense Contains details of employee expenses that have been imported into the system for reconciliation and processing.
inboundshipment Tracks inbound shipments, including shipment details, carrier information, and expected delivery dates.
InboundShipmentItem Lists individual items associated with inbound shipments, including quantities, costs, and item details.
InboundShipmentLandedCost Stores landed cost details for inbound shipments, including freight, duties, and additional expenses.
IncoTerm Defines International Commercial Terms (Incoterms) used in trade agreements to determine responsibilities between buyers and sellers.
IncoTermType Categorizes different types of Incoterms to standardize trade agreements and shipping conditions.
intercompallocationschedule Maintains schedules for intercompany allocations, detailing the distribution of costs and revenues between subsidiaries.
IntercompanyAllocationScheduleAllocationDetail Contains detailed records of allocation transactions related to intercompany allocation schedules.
IntercompanyAllocationScheduleAllocationDetailGeneralDetailDestination Specifies the destination details of intercompany allocation transactions, indicating how costs or revenues are allocated.
IntercompanyAllocationScheduleAllocationDetailGeneralDetailSource Specifies the source details of intercompany allocation transactions, tracking where costs or revenues originate.
IntercompanyDestination Contains details of destination subsidiaries or entities that receive intercompany transactions, facilitating financial consolidation and reconciliation within NetSuite.
intercompanyjournalentry Stores journal entries for intercompany transactions, facilitating accurate financial reporting between subsidiaries.
IntercompanySource Tracks source subsidiaries or entities initiating intercompany transactions, improving compliance and transparency in NetSuite.
intercompanytransferorder Records intercompany transfer orders, tracking the movement of inventory between subsidiaries.
intercompanyTransferOrderLinkedTrackingNumberMap Maps tracking numbers to intercompany transfer orders for improved shipment tracking and reconciliation.
intercompanyTransferOrderShippingAddress Stores shipping address details for intercompany transfer orders, ensuring accurate delivery information.
intercompanyTransferOrderTrackingNumberMap Links tracking numbers to specific intercompany transfer orders for shipment monitoring.
inventoryadjustment Records adjustments made to inventory quantities due to discrepancies, losses, or other modifications.
inventoryAssignment Tracks inventory assignments across different locations or transactions to ensure accurate stock tracking.
InventoryBalance Stores real-time inventory balances for items across different locations, warehouses, or subsidiaries.
inventorycostrevaluation Manages cost revaluations for inventory items, adjusting item costs based on market fluctuations or financial requirements.
InventoryCostTemplate Defines cost templates used for inventory cost calculations and standard costing methods.
InventoryCostTemplateCostDetail Stores detailed cost components within an inventory cost template, including material, labor, and overhead costs.
inventorycount Tracks inventory counts, including cycle counts and full physical inventory counts, to maintain stock accuracy.
inventorydetail Stores additional details related to inventory items, including serial numbers, lot numbers, and expiration dates.
inventoryItemCorrelateditem Links related inventory items for upselling, cross-selling, or recommended product pairings.
inventoryItemItemAccountingBookDetail Maintains accounting book details for inventory items, supporting multi-book accounting practices.
inventoryItemItemQuantityPricingDiscount Tracks quantity-based pricing and discount structures applied to inventory items.
inventoryItemItemQuantityPricingLevel Manages quantity-based pricing levels for inventory items, allowing businesses to define different pricing strategies based on the quantities of items purchased.
inventoryItemItemVendor Manages the association between inventory items and their approved vendors, including supplier details and purchasing terms.
inventoryItemItemVendorPriceLines Stores pricing details provided by vendors for inventory items, including currency and unit price information.
inventoryItemLocations Tracks inventory levels and location-specific attributes, enabling multi-location inventory management and stock visibility.
inventoryItemPresentationItem Links inventory items to presentation configurations, such as merchandising categories, promotional groupings, or visual display settings.
inventoryItemPrice Maintains comprehensive pricing data for inventory items, including base pricing, customer-specific pricing, and multi-currency support.
inventoryItemQuantity Logs real-time inventory stock levels, adjustments, and transaction-based quantity changes for accurate inventory tracking.
inventoryItemSiteCategory Maps inventory items to e-commerce site categories, controlling their online classification, discoverability, and filtering options.
inventoryItemSubsidiaryMap Maintains the relationship between inventory items and their respective subsidiaries, enabling proper stock management and financial reporting.
inventoryItemTranslation Contains translated names and descriptions for inventory items to support multi-language e-commerce, reporting, and international business operations.
inventorynumber Tracks unique inventory numbers assigned to specific stock items, enabling businesses to maintain accurate records and reporting.
InventoryNumberLocation Monitors the physical locations of specific inventory items across multiple warehouses, stores, or fulfillment centers.
inventorystatus Defines inventory statuses such as 'available,' 'backordered,' or 'in transit,' providing insight into stock availability.
inventorystatuschange Captures changes in inventory status, including timestamps and reasons for updates, supporting stock movement analysis.
inventorytransfer Records and manages the movement of inventory between different locations, subsidiaries, or storage facilities.
invoiceBillingAddress Links invoices to the corresponding customer billing addresses, ensuring accurate financial record-keeping.
invoiceGiftCertRedemption Tracks gift certificate redemptions applied to invoices, recording the amount deducted and remaining balance.
invoicegroup Represents a collection of invoices processed together for streamlined billing, payment, or financial reporting.
InvoiceItemShippingAddress Associates specific invoice line items with their designated shipping addresses, supporting order fulfillment tracking.
invoiceLinkedTrackingNumberMap Connects invoices with shipment tracking numbers, facilitating real-time monitoring of delivery status.
invoicePartner Stores details of partners linked to invoices, such as affiliates, resellers, or commission recipients for sales transactions.
invoiceSalesTeam Stores details of sales representatives assigned to invoices, including their roles, contribution percentages, and associated transactions.
invoiceShipGroup Groups invoice shipments to facilitate batch processing, logistics tracking, and efficient fulfillment.
invoiceShippingAddress Stores and manages shipping addresses linked to invoices, ensuring accurate delivery details for fulfillment.
invoiceTrackingNumberMap Associates invoices with their respective shipment tracking numbers for real-time order monitoring.
invoiceTranPromotion Records promotional discounts or offers applied to specific invoice transactions for financial tracking and reporting.
InvtCommit Represents inventory quantities allocated to sales orders, preventing overcommitment and ensuring stock availability.
InvtItemPriceHistory Tracks historical price adjustments for inventory items, supporting pricing analysis and audit requirements.
IPRestrictions Defines and enforces IP-based access restrictions to enhance system security and control user access.
issue Stores information about reported issues, including details on bugs, enhancements, or other reported problems.
issueproduct Links reported issues to the relevant products, tracking which products are affected by specific issues.
issueproductversion Tracks the relationship between reported issues and specific versions of a product, helping with version-based issue resolution.
IssueVersionRelation Defines relationships between different issue versions, capturing dependencies and version-based issue tracking.
item Holds details about inventory and non-inventory items, including products, materials, and services available in NetSuite.
itemAccountingBookDetail Stores accounting book-specific financial details related to items, ensuring proper financial reporting across multiple books.
itemaccountmapping Maps items to their respective general ledger accounts, helping with financial tracking and reconciliation.
itemBaseSubsidiaryMap Manages item availability and assignment across multiple subsidiaries within an organization.
itemBinQuantity Stores quantity details of items within specific bins, facilitating accurate inventory management.
itemcollection Defines collections or groups of items, often used for bundling or categorization in sales and reporting.
ItemCollectionCustomerSegmentMap Links item collections to specific customer segments, supporting targeted marketing and pricing strategies.
itemcollectionitemmap Associates individual items with predefined item collections for streamlined organization and retrieval.
ItemCollectionItemSimpleMap Provides a simplified mapping of items to item collections for performance optimization in queries and reporting.
itemCorrelatedItem Stores relationships between correlated items, such as frequently bought-together or recommended products.
itemdemandplan Holds demand planning data for items, assisting with forecasting and inventory replenishment strategies.
ItemDemandPlanDemandplandetail Contains detailed demand planning data, breaking down item demand projections at a granular level.
ItemDemandSource Tracks sources of demand for items, such as sales orders, forecasts, and transfer orders.
itemfulfillment Stores records of item fulfillment transactions, detailing how and when items are shipped to customers.
ItemFulfillmentPackage Contains details on packages associated with fulfillment transactions, including dimensions, weights, and tracking numbers.
ItemFulfillmentPackageFedex Tracks shipping details for FedEx packages related to item fulfillment.
ItemFulfillmentPackageUps Tracks shipping details for UPS packages related to item fulfillment.
ItemFulfillmentPackageUsps Tracks shipping details for USPS packages related to item fulfillment.
itemFulfillmentReturnAddress Stores return address details for fulfilled orders, ensuring proper handling of returns.
itemFulfillmentShippingAddress Stores shipping addresses used for fulfillment, ensuring correct delivery of items.
itemgroup Defines item groups, which bundle multiple items for simplified pricing, sales, and reporting.
itemGroupMember Lists individual items that belong to an item group, maintaining group composition details.
itemGroupSubsidiaryMap Manages subsidiary-specific item group mappings, allowing for region-based product configurations.
itemGroupTranslation Stores translated names and descriptions for item groups, supporting multilingual NetSuite implementations.
itemlocationconfiguration Holds configuration settings related to how items are managed across different locations within an organization.
itemMember Stores information about item memberships, defining relationships between items within a group or category.
ItemPeriodicLotSizeType Contains data related to periodic lot size types, which determine the lot sizing methodology used in inventory planning.
itemPresentationItem Represents items that are used for presentation purposes in various NetSuite interfaces or reports.
itemPrice Maintains pricing information for different items, including standard and custom price levels.
itempricing Contains detailed item-level pricing rules, including discount structures, quantity-based pricing, and special conditions applied to customer sales scenarios.
ItemPricingDiscount Stores details on promotional and volume-based discounts applied to items, supporting dynamic pricing strategies.
itemprocessfamily Groups manufacturing or operational processes related to specific items, aiding production workflow optimization.
itemprocessgroup Defines logical collections of process families to facilitate efficient production planning and execution.
itemQuantity Maintains real-time inventory quantity data across multiple locations to support stock management and reporting.
itemQuantityPricingDiscount Manages pricing discounts based on quantity-based tier structures to optimize bulk purchasing incentives.
itemQuantityPricingLevel Defines structured pricing levels associated with different quantity thresholds for items, enabling tiered pricing models.
itemreceipt Records the receipt of inventory items, capturing details such as purchase order fulfillment and supplier shipments.
itemrevision Tracks version changes of inventory items, including specification updates and product lifecycle management.
ItemSegmentIncludingSyntheticInclsynthitem Supports item categorization, including synthetic items, to enhance segmentation and reporting for inventory analysis.
ItemSegmentItem Associates items with their corresponding segments for classification, business intelligence, and reporting purposes.
ItemSegmentType Defines different item segment types used to categorize and analyze inventory based on business needs.
itemSiteCategory Organizes items into site-specific categories for inventory control, e-commerce, and fulfillment operations.
ItemSource Tracks the origin of items, whether sourced from vendors, internal manufacturing, or other supply chain channels.
itemSubsidiaryMap Links items to specific subsidiaries in multi-entity NetSuite environments to support localized inventory and reporting.
ItemSubtype Provides a finer level of item classification by defining subtypes within broader inventory categories.
ItemSupplyLotSizingType Determines how supply lot sizes are calculated to support demand planning and procurement strategies.
itemsupplyplan Stores planned supply orders to ensure balanced inventory levels and minimize stock shortages or overages.
ItemSupplyPlanOrder Maintains records of supply plan orders generated by NetSuite’s demand planning and replenishment processes.
ItemSupplyPlanPlanningmessage Holds planning messages related to supply forecasting, order recommendations, and inventory adjustments.
ItemSupplyType Classifies different supply sources, such as vendor-supplied, internally manufactured, or drop-shipped items.
itemTranslation Stores multilingual translations of item names and descriptions to support international business operations.
itemType Defines item classifications such as inventory, service, assembly, or non-inventory for proper categorization and processing.
ItemUnit Manages units of measure for inventory tracking, sales transactions, and procurement consistency.
itemVendor Tracks vendor relationships with items, including preferred suppliers, negotiated pricing, and sourcing details.
job Stores information about jobs, including their status, related entities, and project details.
jobAddressbook Contains contact information related to jobs, linking them to associated entities.
jobAddressbookEntityAddress Maps job-related addresses to corresponding entities for accurate record-keeping.
jobBulkMerge Handles bulk merging of job records to ensure data consistency and integrity.
jobCompanyContact Links jobs to relevant company contacts for streamlined communication and tracking.
JobRequisitionPostingType Defines different types of job requisition postings within the system.
JobRequisitionStatus Tracks the current status of job requisitions, such as open, filled, or closed.
jobResourceJobResourceMap Manages relationships between job resources, linking them to specific tasks.
JobResourceRole Defines roles assigned to job resources, specifying responsibilities and permissions.
jobResources Lists all resources allocated to jobs, including personnel and equipment.
jobstatus Records the status of various jobs, enabling tracking of progress and updates.
jobtype Classifies different types of jobs based on predefined criteria for reporting and analysis.
journalentry Stores financial journal entries, tracking debits and credits for accounting purposes.
kititem Represents kit items, which are collections of individual inventory components sold together.
kitItemCorrelateditem Manages relationships between correlated items within a kit for bundled pricing.
kitItemItemAccountingBookDetail Stores accounting details related to kit items across different books.
kitItemItemQuantityPricingDiscount Tracks quantity-based discounts applied to kit items.
kitItemItemQuantityPricingLevel Defines pricing levels for kit items based on quantity thresholds.
kitItemMember Lists the individual components that make up a kit item.
kitItemPresentationItem Manages how kit items are presented in catalogs and online listings.
kitItemPrice Stores price details of kit items, including base and promotional pricing.
kitItemQuantity Tracks available quantities of kit items across different locations.
kitItemSiteCategory Links kit items to e-commerce site categories for better organization.
kitItemSubsidiaryMap Maps kit items to relevant subsidiaries for financial and inventory tracking.
kitItemTranslation Stores translated names and descriptions for kit items in multiple languages.
knowledgeBaseSiteCategoryTranslation Handles translation of knowledge base categories for multilingual support.
laborbasedprojectrevenuerule Defines revenue recognition rules for labor-based project billing.
LagType Specifies different types of scheduling lags in project management.
landedcost Tracks additional costs such as shipping, duties, and taxes for imported goods.
LandedCostShipmentItemMap Maps shipment items to landed cost records for accurate cost allocation.
lead Stores potential customer information, helping in sales tracking and lead conversion.
librariesAction Stores information about predefined actions used in scripting and workflow automation.
librariesAdvancedRevRec Manages configurations and rules for advanced revenue recognition.
librariesBundleInstallation Tracks the installation and management of SuiteApp bundles.
librariesClient Contains client-side script libraries for enhancing user interface interactions.
librariesConsolRateAdjustor Stores configurations for currency consolidation rate adjustments.
librariesCustomGlLines Manages custom general ledger line adjustments for financial transactions.
librariesEmailCapture Logs captured emails for automated processing and storage.
librariesMassUpdate Facilitates batch processing and automated updates for records.
librariesPaymentGateway Contains configurations and integration details for payment gateways.
librariesPlugInType Defines the types of plugins that can be used in SuiteScript development.
librariesPlugInTypeImpl Maps plugin types to their corresponding implementations.
librariesPortlet Manages custom dashboard portlets used for displaying dynamic content.
librariesPromotions Stores configurations and rules for promotional discounts and campaigns.
librariesRestlet Contains configurations for RESTlet-based web service integrations.
librariesScheduled Manages scheduled scripts that execute at predefined times.
librariesShippingPartners Stores shipping partner details for carrier integrations.
librariesSuitelet Contains script configurations for Suitelets that provide custom UI functionality.
librariesTaxCalculation Manages tax calculation rules and configurations.
librariesTestPlugin Contains test cases and configurations for plugin validation.
librariesUserEvent Tracks custom event-driven scripts that run on record operations.
librariesWebApp Manages configurations for web applications built within NetSuite.
LinkedTrackingNumberMap Stores mapping data between different tracking numbers for shipments.
LocalizedTemplate Contains templates used for multilingual content in NetSuite.
locAssignConfBackorderRulesItem Defines rules for backorder assignments and fulfillment.
location Stores details about business locations, including warehouses and offices.
LocationMainAddress Contains primary address information for business locations.
LocationReturnAddress Manages return address details for different business locations.
locationSubsidiaryMap Maps locations to subsidiaries for operational and financial tracking.
LocationType Categorizes different location types, such as warehouses and stores.
LoginAudit Records login attempts and authentication details for security tracking.
lotnumberedassemblyitem Tracks assembly items that use lot numbers for inventory management, ensuring traceability and compliance.
lotnumberedinventoryitem Stores details of inventory items tracked by lot numbers, facilitating quality control and batch tracking.
MailTemplate Manages predefined email templates used for automated communications and marketing campaigns.
manufacturingComponent Stores details of components used in manufacturing processes, linking raw materials to finished goods.
manufacturingcosttemplate Defines cost structures for manufacturing, including labor, overhead, and materials.
ManufacturingCostTemplateCostDetail Records detailed breakdowns of costs within manufacturing cost templates.
manufacturingoperationtask Tracks individual manufacturing tasks, including assigned workers, machines, and production timelines.
ManufacturingOperationTaskCostDetail Stores cost details related to specific manufacturing operation tasks.
manufacturingOperationTaskPredecessor Manages dependencies between manufacturing tasks to ensure accurate production sequencing.
manufacturingrouting Defines the workflow and sequence of operations for manufacturing a product.
ManufacturingRoutingComponent Links components to manufacturing routings, specifying materials needed at each step.
ManufacturingRoutingLocationMap Associates manufacturing routings with specific production facilities or work centers.
ManufacturingRoutingRoutingStep Stores step-by-step instructions for each stage in a manufacturing routing.
manufacturingTransaction Logs transactions related to manufacturing, such as work orders and production completions.
mapreducescript Manages scripts that use the map/reduce framework for processing large datasets in NetSuite.
markupitem Stores information on markup items used to apply pricing adjustments to sales transactions.
markupItemSubsidiaryMap Associates markup items with specific subsidiaries to support multi-entity financial reporting.
markupItemTranslation Stores translated names and descriptions for markup items in multiple languages.
massupdatescript Handles automated bulk updates of records across the system, improving efficiency and accuracy.
MediaItemFolder Organizes media assets such as images, documents, and videos within the file cabinet.
MediaType Categorizes different types of media files used in NetSuite, such as images, audio, or PDFs.
memdoc Stores memorized transaction records, often used for non-financial transactions.
MemDocCustomRecurrence Manages custom recurrence schedules for memorized transactions.
memDocTransactionTemplate Defines templates for recurring memorized transactions.
MemDocTransactionTemplateAccountingLine Stores accounting line details for financial transactions using memorized transaction templates.
memDocTransactionTemplateLine Records individual line items within a memorized transaction transaction template.
memDocTransactionTemplatePartner Links partners to memorized transaction transactions for financial and business tracking.
memDocTransactionTemplateSalesTeam Associates sales team members with specific memorized transaction transactions.
memDocTransactionTemplateTranPromotion Tracks promotional details tied to memorized transaction transactions.
merchandisehierarchylevel Defines hierarchical levels in a merchandise classification system, structuring product categories.
merchandisehierarchynode Represents individual nodes within a merchandise hierarchy, grouping similar products together.
merchandisehierarchyversion Tracks different versions of merchandise hierarchies, allowing historical comparisons and updates.
message Stores communication records such as emails, system notifications, and customer messages.
MessageFile Associates attachments with messages, storing files linked to emails or internal notes.
MessageType Classifies different types of messages, such as customer communications, system alerts, and internal notifications.
methods Stores predefined methods for various system operations and calculations.
mfgplannedtime Tracks planned manufacturing times for work orders, ensuring accurate production scheduling.
MfgProjectAddressbook Manages contact details linked to manufacturing projects, including suppliers and contractors.
MfgProjectAddressbookEntityAddress Associates manufacturing project addresses with corresponding business entities.
MfgProjectBulkMerge Facilitates bulk merging of manufacturing project records to maintain data consistency.
MfgProjectCompanyContact Links manufacturing projects to relevant company contacts for coordination and reporting.
MfgProjectJobResources Tracks resources allocated to manufacturing jobs, such as personnel and machinery.
MfgProjectJobResourcesJobResourceJobResourceMap Maps job resources across multiple manufacturing projects for efficient resource allocation.
mitPurpose Stores details related to MIT (Material Issue Transactions) and their purpose in inventory management.
MonthsOfYear Defines the months of the year for use in scheduling, reporting, and financial processes.
NegativeNumberFormat Stores the format for handling negative numbers in transactions or accounting entries.
NextTransactionLineLink Links the next line of a transaction to the current one, ensuring proper line item sequencing.
NextTransactionLink The NextTransactionLink table.
nexus Contains information about the tax nexus, used for determining tax jurisdiction based on location.
noninventoryitem Stores data for non-inventory items, which are products not tracked for quantity in stock.
nonInventoryItemCorrelateditem Links non-inventory items with correlated products for cross-selling or bundling.
nonInventoryItemItemAccountingBookDetail Stores accounting details for non-inventory items, used for financial reporting.
nonInventoryItemItemQuantityPricingDiscount Defines quantity-based discount pricing for non-inventory items.
nonInventoryItemItemQuantityPricingLevel Defines different pricing levels based on quantities for non-inventory items.
nonInventoryItemItemVendor Stores vendor-specific pricing and details for non-inventory items.
nonInventoryItemPresentationItem Associates non-inventory items with presentation items, typically for marketing purposes.
nonInventoryItemPrice Stores pricing details for non-inventory items.
nonInventoryItemQuantity Tracks the available quantity of non-inventory items, though not typically tracked for inventory.
nonInventoryItemSiteCategory Links non-inventory items with specific site categories for better online store organization.
nonInventoryItemSubsidiaryMap Maps non-inventory items to subsidiaries for multi-subsidiary management.
nonInventoryItemTranslation Stores translations for non-inventory item names and descriptions in different languages.
nonInventoryPurchaseItemItemAccountingBookDetail Contains accounting details for non-inventory purchase items, used in financial reports.
nonInventoryPurchaseItemItemVendor Stores vendor information for non-inventory purchase items.
nonInventoryPurchaseItemSubsidiaryMap Maps non-inventory purchase items to subsidiaries, enabling multi-subsidiary operations.
nonInventoryPurchaseItemTranslation Stores translations for non-inventory purchase items for international operations.
nonInventoryResaleItemCorrelateditem Links non-inventory resale items with correlated items, used for cross-selling or bundling.
nonInventoryResaleItemItemAccountingBookDetail Contains accounting details for non-inventory resale items used in financial reporting.
nonInventoryResaleItemItemQuantityPricingDiscount Defines quantity-based discount pricing for non-inventory resale items.
nonInventoryResaleItemItemQuantityPricingLevel Defines pricing levels for non-inventory resale items based on quantities.
nonInventoryResaleItemItemVendor Stores vendor-specific pricing and details for non-inventory resale items.
nonInventoryResaleItemPresentationItem Associates non-inventory resale items with presentation items for marketing purposes.
nonInventoryResaleItemPrice Stores pricing information for non-inventory resale items.
nonInventoryResaleItemQuantity Tracks available quantity of non-inventory resale items.
nonInventoryResaleItemSiteCategory Links non-inventory resale items with site categories to facilitate easier browsing in online stores.
nonInventoryResaleItemSubsidiaryMap Maps non-inventory resale items to subsidiaries for multi-subsidiary support.
nonInventoryResaleItemTranslation Stores translations for non-inventory resale items, enabling global sales.
nonInventorySaleItemCorrelateditem Links non-inventory sale items to related products, often used for bundling or promotions.
nonInventorySaleItemItemAccountingBookDetail Stores accounting data for non-inventory sale items, supporting financial reports.
nonInventorySaleItemItemQuantityPricingDiscount Defines quantity discounts for non-inventory sale items.
nonInventorySaleItemItemQuantityPricingLevel Stores pricing levels for non-inventory sale items based on quantity purchased.
nonInventorySaleItemPresentationItem Associates non-inventory sale items with presentation items for marketing and promotional purposes.
nonInventorySaleItemPrice Stores pricing data for non-inventory sale items.
nonInventorySaleItemQuantity Tracks the quantity of non-inventory sale items available for purchase.
nonInventorySaleItemSiteCategory Links non-inventory sale items with specific site categories for better online store categorization.
nonInventorySaleItemSubsidiaryMap Maps non-inventory sale items to subsidiaries, supporting multi-subsidiary management.
nonInventorySaleItemTranslation Stores translated versions of non-inventory sale item names and descriptions for international markets.
note Stores notes related to transactions, entities, or other records in the system.
NoteDirectionType Defines the direction of notes (for example, inbound, outbound) in relation to a transaction or entity.
notetype Categorizes notes by type, enabling easier management and retrieval of notes.
NumberFormat Stores formatting rules for numbers, ensuring consistency across the system.
NumberingSequenceSubsidMap Maps numbering sequences to subsidiaries for multi-subsidiary operations.
OAuthToken Stores OAuth tokens used for secure API authentication.
onlineFormTemplate Stores templates for online forms, used in customer data collection and submissions.
onlineLeadFormEvent Tracks events related to online lead forms, such as submissions and interactions.
onlineLeadFormField Defines fields used in online lead forms for capturing customer information.
opportunity Stores information about sales opportunities, including potential revenue and deal details.
opportunityBillingAddress Stores the billing address associated with an opportunity.
OpportunityCompetitor Tracks competitors associated with specific sales opportunities.
opportunityPartner Stores partner information linked to sales opportunities.
opportunitySalesTeam Stores details of the sales team members associated with an opportunity.
opportunityShippingAddress Stores the shipping address associated with an opportunity.
orderFrequencyType Defines the frequency of orders (for example, weekly, monthly) for sales or procurement purposes.
orderreservation Stores details of order reservations made for customers, helping manage stock allocation.
orderschedule Defines the scheduling rules for order fulfillment and delivery.
ordertype Defines the types of orders (for example, standard, rush) within the system.
otherchargeitem Stores non-inventory charge items applied to transactions, such as fees or shipping costs.
otherChargeItemItemAccountingBookDetail Contains accounting details for other charge items applied to transactions.
otherChargeItemItemQuantityPricingDiscount Defines discounts applied to other charge items based on quantity.
otherChargeItemItemQuantityPricingLevel Stores pricing levels for other charge items based on the quantity purchased.
otherChargeItemItemVendor Links other charge items to specific vendors, useful for purchase order tracking.
otherChargeItemPrice Stores the price of non-inventory charge items applied to transactions.
otherChargeItemQuantity Tracks the quantity of other charge items in transactions.
otherChargeItemSubsidiaryMap Maps other charge items to subsidiaries for multi-subsidiary operations.
otherChargeItemTranslation Stores translations for other charge items, enabling global business operations.
otherChargePurchaseItemItemAccountingBookDetail Contains accounting details for other charge purchase items.
otherChargePurchaseItemItemVendor Stores vendor-specific information for other charge purchase items.
otherChargePurchaseItemSubsidiaryMap Maps other charge purchase items to subsidiaries for multi-subsidiary support.
otherChargePurchaseItemTranslation Stores translations for other charge purchase items for international operations.
otherChargeResaleItemItemAccountingBookDetail Stores accounting details for other charge resale items used in transactions.
otherChargeResaleItemItemQuantityPricingDiscount Defines discounts for other charge resale items based on quantity.
otherChargeResaleItemItemQuantityPricingLevel Stores quantity pricing levels for other charge resale items.
otherChargeResaleItemItemVendor Links other charge resale items to specific vendors.
otherChargeResaleItemPrice Stores pricing data for other charge resale items.
otherChargeResaleItemQuantity Tracks the quantity of other charge resale items in transactions.
otherChargeResaleItemSubsidiaryMap Maps other charge resale items to subsidiaries for multi-subsidiary management.
otherChargeResaleItemTranslation Stores translations for other charge resale items, allowing for global sales.
otherChargeSaleItemItemAccountingBookDetail Contains accounting details for other charge sale items.
otherChargeSaleItemItemQuantityPricingDiscount Defines discounts applied to other charge sale items based on quantity.
otherChargeSaleItemItemQuantityPricingLevel Stores pricing levels for other charge sale items based on quantity.
otherChargeSaleItemPrice Stores the pricing information for other charge sale items.
otherChargeSaleItemQuantity Tracks the quantity of other charge sale items in transactions.
otherChargeSaleItemSubsidiaryMap Maps other charge sale items to subsidiaries for multi-subsidiary support.
otherChargeSaleItemTranslation Stores translations for other charge sale items for international markets.
othername Stores data for other names associated with entities, often used for aliases or secondary names.
otherNameAddressbook Stores address book entries for other names associated with entities.
otherNameAddressbookEntityAddress Links other name address book entries to specific entity addresses.
otherNameBulkMerge Supports bulk merging of other name records for cleanup or integration.
otherNameCampaigns Tracks campaign associations related to other names.
othernamecategory Stores categorization information for other names in the system.
otherNameCompanyContact Links other names to company contact records for easier lookup.
otherNameSubscriptionMessageHistory Tracks subscription message history related to other names in the system.
otherNameSubscriptions Stores subscription details for other names, including status and dates.
OtherNameSubsidiaryRelationship Tracks the relationship between other names and subsidiaries.
outboundRequest Tracks outbound requests made from the system, including request details.
overallQuantityPricingType Defines the overall pricing strategy based on quantities purchased.
overheadType Categorizes different types of overhead costs for financial analysis and reporting.
parametersAction The table that stores the parameters for actions executed in SuiteQL scripts, used for configuration and customization.
parametersBundleInstallation The table storing parameters related to bundle installations in SuiteQL, used to manage the installation of bundles in the system.
parametersClient The table that stores client-specific parameters in SuiteQL scripts, used for configuring client-related data and transactions.
parametersMapReduce The table holding parameters for MapReduce jobs in SuiteQL, enabling custom MapReduce processes to be configured and executed.
parametersMassUpdate The table that stores parameters for mass update processes, allowing bulk updates of records in SuiteQL scripts.
parametersPortlet The table storing parameters for portlet configurations, used to control the display and behavior of portlets in the SuiteQL environment.
parametersRestlet The table holding parameters for Restlet services in SuiteQL, used to manage web service calls and data handling in SuiteQL scripts.
parametersScheduled The table that stores parameters for scheduled script executions, enabling automation and task scheduling in SuiteQL.
parametersScript The table storing parameters for SuiteScripts, enabling customization and configuration of scripts within the SuiteQL environment.
parametersSuitelet The table that stores Suitelet parameters, used for configuring user interfaces and custom forms within SuiteQL.
parametersUserEvent The table storing parameters for user event scripts, enabling customization and logic to be applied based on user interactions in SuiteQL.
partner The table that stores partner-related information, used to track business partners, their statuses, and relationships in the system.
PartnerAddressbook The table storing partner address book entries, including multiple addresses for each partner.
PartnerAddressbookEntityAddress The table linking partner address book entries to entity addresses, used to manage partner-specific addresses.
PartnerBulkMerge The table for managing bulk merge operations related to partners, streamlining partner data consolidation and updates.
PartnerCampaigns The table that tracks partner campaign participation, linking partners to marketing campaigns they are involved with.
partnercategory The table storing categories for partners, used to classify partners based on types, regions, or other characteristics.
partnerCategoryMap The table that maps partners to their respective categories, enabling efficient classification and reporting.
PartnerCompanyContact The table storing contact information for partner companies, used to track key personnel and communication points.
partnerContactRole The table defining the roles of contacts within partner companies, facilitating role-based communication and responsibilities.
PartnerSubscriptionMessageHistory The table that tracks the history of subscription messages sent to partners, used for communications and subscription management.
PartnerSubscriptions The table storing subscription data for partners, enabling management of partner subscriptions and related services.
PartnerSubsidiaryRelationship The table storing relationships between partners and subsidiaries, used for tracking the organizational structure of partner networks.
PartnerSystem The table managing the systems associated with partners, used to track integrations, data sharing, and system connections.
paycheck The table storing paycheck records, used for tracking employee payments, deductions, and pay periods.
paycheckjournal The table storing journal entries related to paychecks, used for accounting and reconciliation of payroll transactions.
payItemType The table that defines different types of pay items, used to categorize and manage various payroll components such as wages, bonuses, or commissions.
paymentcard The table storing payment card details, used for processing and managing payments through credit or debit cards.
paymentCardBin The table storing information about payment card BIN (Bank Identification Number), used for identifying the financial institution associated with a card.
paymentCardBrand The table tracking different card brands (such as Visa, MasterCard, or American Express), used for managing payment card preferences.
paymentCardPaymentOperationMap The table linking payment card types with payment operations, used for managing card-specific transaction processing rules.
paymentcardtoken The table storing tokenized payment card data, enabling secure processing without storing sensitive card details.
paymentCardTokenPaymentOperationMap The table mapping tokenized payment card data to payment operations, ensuring secure transaction processing with tokenized card information.
paymentevent The table storing details of payment events, used to track the status and results of payment transactions.
paymentHandlingMode The table storing different payment handling modes, used to define how payment transactions are processed or handled.
paymentInitiator The table that tracks the initiator of payment transactions, used for identifying the source or authorization of payments.
paymentInstrumentListPaymentOperationMap The table that links payment instruments to specific payment operations, used for managing payment processing logic.
paymentInstrumentPaymentOperationMap The table mapping different payment instruments to their corresponding payment operations for seamless transaction processing.
paymentInstrumentStateType The table defining the various states associated with payment instruments (such as active, expired, or pending) for managing their lifecycle.
paymentInstrumentType The table defining the types of payment instruments (such as credit cards, ACH, or PayPal) to classify and manage payment methods.
paymentitem The table storing payment item details, used to track different types of payment items in the system for billing and accounting purposes.
paymentItemSubsidiaryMap The table mapping payment items to subsidiaries, enabling subsidiary-specific management of payment items in multi-subsidiary organizations.
paymentItemTranslation The paymentItemTranslation table.
paymentmethod The table storing payment methods (such as credit card, bank transfer, or cash), used for processing payments in the system.
paymentMethodVisual The table storing visual representations of payment methods, used to display payment options in user interfaces or customer-facing systems.
paymentOperation The table storing payment operations (such as authorization, capture, or refund), used for processing transactions and managing payment workflows.
paymentResultPreview The table previewing the results of payment operations, used to simulate and verify payment transaction outcomes before final submission.
paymentStatus The table storing payment status information (such as pending, completed, or failed), used for tracking the progress and results of payment transactions.
paymentStatusReason The table defining the reasons for payment statuses (such as insufficient funds, authorization failed, or fraud), to explain transaction outcomes.
payrollbatch The table managing payroll batches, used to group and track payroll processing activities for employees.
payrollitem The table storing payroll item details, used to categorize and manage the different types of compensation or deductions within payroll records.
payrollItemEmployeeTaxOptions The table storing tax options for payroll items, enabling customization of tax treatments for different payroll components.
pctcompleteprojectrevenuerule The table storing rules for recognizing project revenue based on percentage completion, used for revenue recognition in project-based accounting.
PdfTemplate The table storing PDF templates, used to define the layout and structure of printable documents within the system.
periodendjournal The table storing period-end journal entries, used for recording financial transactions at the close of a financial period.
permissionLevel The table defining permission levels for users or roles, used to manage access control and security within the system.
PermissionType The table defining different types of permissions (such as read, write, or delete), used for fine-grained access control in the system.
phonecall The table storing phone call records, used to track customer service interactions, sales calls, and other telecommunication events.
PickActionInventoryDetail The table storing inventory details for pick actions, used in warehouse management to track the items picked for fulfillment.
pickstrategy The table defining pick strategies, used in warehouse management to optimize the process of selecting items for order fulfillment.
picktask The table storing details about tasks related to picking inventory items, used in warehouse and fulfillment operations.
plannedorder The table storing planned orders, used for tracking future orders and production requirements in the supply chain.
plannedRevenueType Defines the types of planned revenue streams, used in financial forecasting and revenue recognition planning.
plannedStandardCost Stores predefined standard costs for items and services, used in cost accounting and budgeting.
plannedStandardCostComponents Breaks down planned standard costs into individual components, providing detailed cost analysis for budgeting.
planningitemcategory Categorizes planning items based on their use in supply chain and inventory management.
planningitemgroup Groups planning items together for batch processing in production and procurement planning.
planningrulegroup Stores predefined planning rules that govern inventory replenishment, production, and purchasing strategies.
planningview Provides a structured view of supply chain planning data, used for demand forecasting and capacity planning.
platformExtensionPluginLibrariesAdvancedRevRec Manages advanced revenue recognition plugin libraries, enabling enhanced financial reporting capabilities.
portlet Stores configuration data for portlets, which are customizable UI elements in NetSuite dashboards.
predictedRiskTrainEvalHistory Tracks the training and evaluation history of predictive risk models used for financial and operational analysis.
presentationItemType Defines different types of presentation items, used for displaying structured content within NetSuite.
PreviousTransactionLineLink Links related transaction lines together, enabling historical transaction tracking and reporting.
PreviousTransactionLink Tracks the relationship between past transactions, allowing for audit trails and historical data analysis.
pricebook Stores structured price books that define different pricing levels for products and services.
pricelevel Manages different pricing levels assigned to customers, such as retail, wholesale, or custom pricing tiers.
PriceModelType Defines pricing models used for dynamic pricing calculations based on market conditions or customer segments.
priceplan Tracks predefined pricing plans, used for subscription-based billing or long-term pricing strategies.
priceUsingType Specifies different pricing methods, such as cost-plus, discount-based, or volume-based pricing.
pricing Stores real-time pricing data, used for sales transactions and automated pricing adjustments.
pricinggroup Organizes items into pricing groups, allowing for bulk pricing changes and promotions.
ProjectBudgetAmount Stores allocated budget amounts for projects, allowing financial tracking and budget adherence analysis.
projectexpensetype Defines types of project expenses (such as travel, materials, or consulting fees), used for project cost tracking.
projectfinancials The projectfinancials table.
projecticchargerequest Manages intercompany charge requests related to projects, used in multi-entity project accounting.
ProjectSubsidiaryRelationship Tracks relationships between projects and subsidiaries, enabling cross-company project management.
projecttask Stores individual project tasks, used for task tracking, resource allocation, and scheduling.
projectTaskAssignee Links project tasks to assigned resources, tracking responsibility and workload distribution.
projectTaskConstraintType Defines constraint types for project tasks, such as fixed dates or dependencies on other tasks.
projectTaskPredecessor Tracks predecessor relationships between project tasks, used for scheduling and dependency management.
projecttemplate Stores reusable project templates, enabling standardized project setup and workflow automation.
projectTemplateJobResource Manages job resources linked to project templates, allowing pre-assigned resources in template-based projects.
ProjectTemplateSubsidiaryRelationship Defines relationships between project templates and subsidiaries, ensuring consistency across business units.
ProjectTimeApprovalType Specifies different approval types for project time entries, used in timesheet review workflows.
promocodediscounttype Defines types of discount structures associated with promotional codes, such as percentage-based or fixed amount discounts.
promotioncode Stores promotional codes used for discounts and marketing campaigns in sales transactions.
promotionCodeCampaigns Links promotional codes to marketing campaigns, enabling tracking of discount effectiveness.
promotionCodeCouponInstances Tracks individual coupon instances generated from promotional codes, used for unique or limited-use offers.
promotionCodeCurrency Maps promotional codes to specific currencies, allowing multi-currency promotions.
promotionCodeItems Links promotional codes to specific items, restricting discounts to selected products or services.
promotioncodelocationmap Defines which locations a promotional code is valid for, used for regional promotions and offers.
promotionCodePartnerMap Associates promotional codes with specific business partners, used for affiliate or partner-driven promotions.
promotionCodeWebsiteMap Links promotional codes to specific websites or e-commerce platforms for online sales.
prospect Stores data about prospective customers, used for lead tracking and sales pipeline management.
publishedSavedSearch Manages saved searches that have been published for use by multiple users in NetSuite.
publishedSavedSearchPresItemPresCategory Links published saved searches to presentation items and categories for structured content retrieval.
publishedSavedSearchSiteCategoryTagSubstitution Manages tag-based substitutions in published saved searches, enabling dynamic search filtering.
publishedSavedSearchSiteCategoryTranslationPublishedSavedSearch Tracks translations for published saved searches in different site categories, supporting multilingual content.
purchasecontract Stores purchase contract details, used for long-term vendor agreements and procurement planning.
purchaseOrderBillingAddress Stores billing addresses associated with purchase orders, ensuring accurate financial documentation.
purchaseOrderExpenseMachine Tracks machine-related expenses tied to purchase orders, used for capital expenditure tracking.
purchaseOrderShippingAddress Stores shipping addresses for purchase orders, ensuring proper delivery logistics.
purchaseOrderTrackingNumberMap Maps tracking numbers to purchase orders, enabling shipment tracking and delivery confirmation.
purchaserequisition Manages purchase requisitions, enabling internal requests for goods and services before purchase orders are issued.
purchaseRequisitionTrackingNumberMap Links tracking numbers to purchase requisitions, enabling monitoring of requested goods in transit.
quantityPricingSchedule Contains details about quantity-based pricing structures, including pricing tiers and applicable discounts for bulk purchases.
quantityPricingScheduleLevelEdit Stores data related to the modification and adjustment of quantity pricing levels, allowing for customization of pricing schedules.
quantityPricingScheduleLevelSpreadsheet Represents the tabular view of quantity pricing levels, facilitating bulk edits and analysis in spreadsheet-like formats.
Quota Tracks sales quotas assigned to sales representatives or teams, used for performance evaluation and goal setting.
reallocateitem Maintains records of inventory reallocations, detailing item movements between locations for optimized stock distribution.
receiveinboundshipment Logs the receipt of inbound shipments, capturing shipment details, received quantities, and supplier information.
RecentRecord Stores a list of recently accessed records by users for quick reference and navigation within the system.
redeemedAtTransaction Tracks reward redemptions and applied promotions at the transaction level for customer loyalty programs and discounts.
reforecastMethod Defines methods for reforecasting revenue, expenses, or sales projections based on updated business conditions.
reportingSection Categorizes various reporting elements, allowing structured organization of financial, operational, and compliance reports.
requestForQuoteItemItemPricing Details item-level pricing within a Request For Quote (RFQ), including base pricing, volume discounts, and special offers.
requestForQuoteItemItemPricingDiscount Stores specific discount details associated with Request for Quote (RFQ) item pricing, including percentage and fixed-amount reductions.
resourceallocation Manages the allocation of resources such as personnel, equipment, and budget to various projects or tasks.
resourceAllocationType Defines the types of resource allocations, including full-time, part-time, and temporary assignments within projects.
resourceGroup Organizes resources into logical groups, enabling better management and assignment of personnel and assets.
resourceGroupMembers Links individual resources to specific resource groups, defining team structures and functional units.
restlet Holds metadata and configurations for REST-based API scripts, facilitating integration with external applications.
returnauthorization Records customer return authorizations, capturing details of returned items, approval status, and refund processing.
returnAuthorizationBillingAddress Maintains billing address information associated with return authorizations for accurate customer account tracking.
returnAuthorizationPartner Links business partners involved in return authorizations, including vendors and logistics providers.
returnAuthorizationSalesTeam Tracks the sales team members associated with a return authorization, useful for performance analysis and commission calculations.
returnAuthorizationShippingAddress Stores shipping address details relevant to return authorizations, ensuring accurate logistics and restocking processes.
returnAuthorizationTranPromotion Captures promotion details linked to return authorizations, tracking applied discounts and incentives.
RevenueArrangement Manages revenue recognition arrangements, defining how revenue is allocated across multiple accounting periods.
revenuecommitment Records revenue commitments, outlining contractual obligations for future revenue recognition based on service or product delivery.
revenueCommitmentBillingAddress Stores billing addresses associated with revenue commitments to maintain financial accuracy.
revenueCommitmentPartner Tracks partner entities involved in revenue commitments, such as resellers, distributors, or service providers.
revenuecommitmentreversal Handles reversals of revenue commitments, ensuring correct revenue adjustments and compliance with accounting standards.
revenueCommitmentReversalBillingAddress Records billing addresses linked to revenue commitment reversals for financial auditing purposes.
revenueCommitmentReversalPartner Maintains partner details related to revenue commitment reversals, ensuring accurate contract modifications.
revenueCommitmentReversalSalesTeam Tracks sales representatives linked to revenue commitment reversals, enabling sales compensation adjustments.
revenueCommitmentReversalShippingAddress Stores shipping addresses relevant to revenue commitment reversals for logistical corrections.
revenueCommitmentReversalTrackingNumberMap Maps tracking numbers to revenue commitment reversals for improved order reconciliation and traceability.
revenueCommitmentSalesTeam Associates sales teams with revenue commitments, helping track sales-driven revenue recognition.
revenueCommitmentShippingAddress Stores shipping address details linked to revenue commitments, ensuring delivery accuracy.
revenueCommitmentTrackingNumberMap Maintains tracking number associations with revenue commitments, enabling order fulfillment tracking.
revenueContractSalesTeam Links sales teams to revenue contracts, ensuring accountability for contract-based revenue.
RevenueElement Defines individual revenue elements within revenue arrangements, specifying how revenue is distributed.
revenueElementSourceType Categorizes sources of revenue elements, distinguishing between products, services, and other income streams.
RevenuePlan Manages structured revenue plans, outlining expected revenue recognition timelines and allocation rules.
revenuePlanSource Tracks the origin of revenue plans, linking them to sales transactions, contracts, or forecasts.
revenuePlanStatus Defines the status of revenue plans, such as pending, active, completed, or canceled.
revenuePlanType Specifies different types of revenue plans, such as milestone-based, subscription-based, or percentage-of-completion.
revRecAmountSourceType Defines the source of revenue recognition amounts, such as fixed fees, variable charges, or cost-plus calculations.
revRecChangeImpactType Tracks the impact of changes on revenue recognition schedules, ensuring compliance with accounting adjustments.
revRecDateSourceType Determines the basis for revenue recognition dates, such as contract start date or delivery date.
revRecEventPRevRule Manages event-based revenue recognition rules, defining when revenue should be recognized upon specific triggers.
revRecEventTranLine Stores transaction line details associated with revenue recognition events, enabling detailed financial tracking.
revRecRecurrenceType Defines different recurrence patterns for revenue recognition, including monthly, quarterly, and annual schedules.
revrecschedule Manages the scheduling of revenue recognition, ensuring compliance with financial reporting standards.
revrectemplate Stores predefined templates for revenue recognition, streamlining the setup of standard revenue schedules.
role Defines user roles within the system, specifying access levels and permissions.
rolepermissions Manages permissions assigned to specific roles, controlling data access and system functionality.
rolerestrictions Tracks restrictions associated with user roles, limiting access to specific records or actions.
saleschannel Contains information about the various sales channels used, such as online, in-store, or third-party platforms.
salesInvoiced Tracks sales that have been invoiced, providing insights into completed billing transactions.
salesorder Stores details of sales orders, including order status, customer, and line items. DEPRECATED. To be removed in v26. Use the SalesOrder table in the SuiteTalk schema instead.
salesOrderBillingAddress Contains billing address information linked to individual sales orders.
salesOrdered Tracks items that have been ordered but not yet invoiced or fulfilled.
salesOrderGiftCertRedemption Records gift certificate redemptions associated with specific sales orders.
salesOrderItemShippingAddress Stores shipping addresses assigned to individual items within a sales order.
salesOrderLinkedTrackingNumberMap Maps tracking numbers to sales orders for shipment tracking purposes.
salesOrderPartner Associates partners, such as resellers or affiliates, with specific sales orders.
salesOrderSalesTeam Tracks sales team members and their roles associated with a specific sales order.
salesOrderShipGroup Organizes line items into shipping groups within a sales order for grouped fulfillment.
salesOrderShippingAddress Contains shipping address information linked to each sales order.
salesOrderTranPromotion Captures promotional discounts or offers applied to sales transactions.
salesrole Defines roles assigned to sales representatives, used in sales tracking and reporting.
salestaxitem Holds tax item definitions used to calculate applicable sales taxes on transactions.
scheduledscript Stores metadata for scheduled scripts, which execute server-side logic at defined intervals.
scheduledscriptinstance Tracks individual instances of scheduled scripts, including execution time and status.
schedulingMethod Lists available scheduling methods for job or resource allocation.
scriptButton Defines custom script buttons available in the user interface.
scriptdeployment Tracks deployment details for scripts across different environments or records.
scriptEventType Lists event types (for example, create, edit, delete) that can trigger script execution.
scriptExecutionContextMap Maps execution contexts (for example, user event, scheduled, client) to associated scripts.
scriptExecutionContextMapClient Specifies client-side contexts in which scripts are executed.
scriptExecutionContextMapUserEvent Details the user event contexts that trigger script execution.
scriptFieldType Defines data types for scriptable fields used in SuiteScript or custom records.
scriptLocalizationContextMap Maps localization contexts to scripts for internationalization support.
scriptLocalizationContextMapClient Defines localization mappings for scripts running on the client side.
scriptMethods Lists available scripting methods that can be used within SuiteScript.
scriptNoteType Defines types of script-related notes used for documentation or tracking.
scriptPortletType Specifies the portlet types used in dashboard script deployments.
scriptStatus Tracks the current status of deployed scripts.
scriptType Lists the SuiteScripts types.
scriptVersion Stores versioning information for scripts to manage updates and deployments.
searchCampaign Contains information on search campaigns used in marketing and lead generation.
searchCampaignItem Stores items linked to specific search campaigns, aiding campaign performance tracking.
sentEmail Tracks emails that have been sent from within the system, including metadata and status.
sentemailrecipient Lists recipients associated with each sent email record.
serializedassemblyitem Contains records for serialized assembly items, including component and serial tracking data.
serializedinventoryitem Stores details of serialized inventory items, allowing for tracking by serial number throughout the product lifecycle.
serviceitem Defines general service items used for billing non-physical services.
serviceItemBillingRate Specifies billing rates associated with service items, used for project and time-based billing.
serviceItemCorrelateditem Tracks related or frequently purchased service items, useful for upselling and product suggestions.
serviceItemItemAccountingBookDetail Captures accounting book-specific financial data for service items, including alternate book treatments.
serviceItemItemQuantityPricingDiscount Holds quantity-based pricing discounts for service items, enabling tiered pricing models.
serviceItemItemQuantityPricingLevel Defines pricing levels for service items based on quantity thresholds.
serviceItemItemVendor Lists vendors associated with service items, supporting vendor-managed services.
serviceItemPresentationItem Stores presentation details of service items used for online or printed catalogs.
serviceItemPrice Tracks pricing information for service items, including currency, customer group, and price level.
serviceItemQuantity Stores inventory quantity settings related to service items when applicable.
serviceItemSiteCategory Maps service items to web store site categories for easier browsing and navigation.
serviceItemSubsidiaryMap Associates service items with subsidiaries in multi-subsidiary environments.
serviceItemTaskTemplate Links task templates to service items, supporting project-based service delivery workflows.
serviceItemTranslation Provides translated descriptions and names of service items for multilingual sites or international use.
servicePurchaseItemItemAccountingBookDetail Stores accounting book-specific details for service purchase items.
servicePurchaseItemItemVendor Lists vendors tied to specific service purchase items.
servicePurchaseItemSubsidiaryMap Maps service purchase items to specific subsidiaries.
servicePurchaseItemTranslation Contains translated values for service purchase items across supported languages.
serviceResaleItemBillingRate Captures billing rates specific to resale service items for invoicing purposes.
serviceResaleItemCorrelateditem Lists correlated items frequently resold together with the main service item.
serviceResaleItemItemAccountingBookDetail Holds financial reporting details per accounting book for resale service items.
serviceResaleItemItemQuantityPricingDiscount Stores discount schedules for resale service items based on quantity purchased.
serviceResaleItemItemQuantityPricingLevel Defines quantity pricing levels used for resale service items.
serviceResaleItemItemVendor Lists vendors associated with resale service items for sourcing or resale tracking.
serviceResaleItemPresentationItem Stores presentation information for resale service items in web stores or catalogs.
serviceResaleItemPrice Maintains pricing information for resale service items by customer segment or pricing level.
serviceResaleItemQuantity Tracks inventory-related quantities for resale service items.
serviceResaleItemSiteCategory Links resale service items to site categories for web store placement.
serviceResaleItemSubsidiaryMap Maps resale service items to subsidiaries for use in multi-entity environments.
serviceResaleItemTaskTemplate Associates task templates with resale service items for use in project-based selling.
serviceResaleItemTranslation Holds translated descriptions and names for resale service items.
serviceSaleItemCorrelateditem Lists items frequently sold together with a given service sale item to support cross-selling strategies.
serviceSaleItemItemAccountingBookDetail Stores accounting book-specific data for service sale items to support multi-book accounting.
serviceSaleItemItemQuantityPricingDiscount Contains quantity-based discount tiers for service sale items, enabling volume-based pricing.
serviceSaleItemItemQuantityPricingLevel Defines pricing levels for service sale items based on the quantity purchased.
serviceSaleItemPresentationItem Captures presentation details for service sale items in digital or printed catalogs.
serviceSaleItemPrice Stores pricing records for service sale items, including pricing levels, currencies, and customer groups.
serviceSaleItemQuantity Tracks inventory quantity attributes for service sale items when applicable.
serviceSaleItemSiteCategory Associates service sale items with specific categories on the web store for navigation and organization.
serviceSaleItemSubsidiaryMap Maps service sale items to one or more subsidiaries for use in multi-subsidiary setups.
serviceSaleItemTaskTemplate Links reusable task templates to service sale items for project or service delivery workflows.
serviceSaleItemTranslation Contains translated fields for service sale items to support multilingual implementations.
ShipGroup Stores shipping group data, grouping line items with shared shipping preferences or addresses in transactions.
shipitem Stores information about items that are eligible for shipping, including their attributes, classifications, and associated costs.
ShipItemFreeShippingItem Contains entries defining which items qualify for free shipping promotions and under what conditions.
ShipItemHandlingRate Specifies the handling rates applied to various items during shipment, often used for surcharge calculations.
ShipItemShippingRate Outlines the shipping rates applicable to specific items based on carrier agreements and item characteristics.
ShipItemTranslation Stores localized descriptions and details for ship items, supporting multi-language capabilities in shipping documents.
ShipmentPackage Holds details about individual shipment packages, including dimensions, weight, and tracking information.
ShipperPackageTypeCode Defines standardized codes representing different package types used by various shipping carriers.
shippingMethodRuleRelation Maps specific shipping methods to business rules that determine their applicability and restrictions.
ShippingPackage Maintains details about different types of packages used for shipping, including predefined sizes and weights.
shoppingcart Tracks active shopping carts for users, including item lists, quantities, and preliminary order information.
ShoppingCartLine Records individual items within shopping carts, detailing product IDs, quantities, prices, and associated metadata.
siteAudience Defines various audience segments for targeting content or functionalities within the platform.
siteAudienceCustomer Stores customer-specific audience data for personalized marketing and content delivery.
siteAudienceDepartment Identifies department-specific audience categories for internal and external content targeting.
siteAudienceEmployee Categorizes employees into specific audience groups for internal communications and access control.
siteAudienceGroup Lists defined audience groups, often used for targeted marketing or restricted access content.
siteAudiencePartner Contains audience definitions related to business partners, ensuring appropriate visibility and permissions.
siteAudienceRole Associates audience definitions with specific user roles within the platform.
siteAudienceSubsidiary Maps audience segments to specific subsidiaries, enabling tailored experiences based on business divisions.
siteAudienceVendor Captures vendor-specific audience groups for targeted communication or restricted access purposes.
sitecategory Defines categories for organizing site content, enhancing user navigation and searchability.
siteCategoryPresItemPresCategory Links presentation items to their respective categories for structured content display.
siteCategoryTagSubstitution Provides rules for substituting tags within category-based content displays.
siteCategoryTranslation Supports multi-language content by storing translated versions of category names and descriptions.
siteCategoryType Defines various types of categories used for classification and presentation of site content.
sitetheme Stores information about various themes applied to site templates, including their design and layout details.
softDescriptor Contains customizable descriptors used for transaction descriptions displayed on customer statements.
soldOnTransaction Logs details about items sold as part of transactions, including quantities, prices, and applied discounts.
solution Maintains entries related to customer support solutions, including knowledge base articles and troubleshooting guides.
solutionSolutionMap Maps solutions to related topics or categories for easier access and reference.
solutiontopicmap Links solutions to specific topics, enhancing searchability and organization of help documents.
specialAccountType Defines various account types with unique handling rules within financial transactions.
standardcostdefaulttype Specifies default cost types for standard costing calculations.
standardCostVersion Tracks versions of standard cost calculations applied to various items over time.
standardCostVersionLocationMap Links standard cost versions to specific locations for accurate costing.
statisticaljournalentry Records statistical entries that are not directly tied to financial transactions but are used for analysis.
statisticalScheduleDetail Provides detailed breakdowns of statistical entries used for internal reporting.
stockBehaviorType Defines various stock behaviors such as stock-outs, replenishments, and adjustments.
storepickupfulfillment Tracks orders fulfilled via in-store pickup, including order status and readiness.
storeTab Organizes tabs or sections displayed in online stores, enhancing user navigation and content presentation.
storeTabPresItem Maps presentation items to store tabs for better visibility and user experience.
storeTabSiteCategoryTranslationStoreTab Handles translated names of store tabs for multi-language compatibility.
storeTabTagSubstitution Defines rules for replacing tags with appropriate substitutes within store tabs.
storeTabType Defines different types of store tabs for various presentation purposes.
sublist Stores metadata about sublists used in various interfaces, defining their structure and content.
subscription Stores active subscriptions, including plan details, renewal dates, and associated accounts.
subscriptionchangeorder Logs requests to modify existing subscriptions, such as upgrades, downgrades, or cancellations.
subscriptionChangeOrderNewLine Logs new line items added as part of subscription change orders.
subscriptionline Stores details about individual subscription lines, including services, products, and associated costs.
subscriptionLineStatus Tracks the status of individual subscription lines, including active, canceled, or pending.
subscriptionMessageType Defines various message types associated with subscription communications and alerts.
subscriptionplan Defines available subscription plans, including pricing, terms, and included features.
subscriptionPlanSubsidiaryMap Links subscription plans to specific subsidiaries for localized offerings.
subscriptionterm Defines the various terms available for subscriptions, such as monthly, yearly, or custom durations.
subscriptiontermunit Maps subscription terms to units of time for accurate billing and scheduling.
subsidiary Lists the various subsidiaries under an organization, including their details and associated financial data.
SubsidiaryMainAddress Stores the primary addresses for each subsidiary within the organization.
SubsidiaryReturnAddress Logs return addresses associated with subsidiaries for order processing.
subsidiarysettings Manages various settings and configurations specific to each subsidiary.
SubsidiaryShippingAddress Holds shipping addresses for each subsidiary, used in logistics and distribution.
subsidiaryTaxRegistration Tracks tax registration details for subsidiaries, including applicable jurisdictions.
SUBSIDIARYTRANSLATION Stores localized translations of subsidiary names and descriptions for multilingual support.
subtotalitem Records subtotal items used in transactions to organize and present grouped costs.
subtotalItemSubsidiaryMap Links subtotal items to subsidiaries for accounting and reporting purposes.
subtotalItemTranslation Supports translations of subtotal item names for multi-language compatibility.
suitelet Contains metadata about Suitelets, which are server-side scripts used to build custom UI pages and backend logic in NetSuite.
SuiteScriptDetail Logs details related to SuiteScript executions, including script IDs, deployment types, and associated records.
supplychainsnapshot Provides snapshots of supply chain data for reporting, analysis, and forecasting.
supplyChainSnapshotDetails Contains detailed breakdowns of supply chain snapshots, including items, quantities, and demand status.
supplychainsnapshotsimulation Stores simulated supply chain scenarios to evaluate planning strategies.
supplychangeorder Tracks changes made to supply orders, including modifications, cancellations, or amendments.
supplyplandefinition Defines supply plans outlining production, procurement, and distribution strategies.
SupplyReplenishmentType Categorizes various replenishment methods, such as make-to-order or make-to-stock.
supportcase Logs customer support cases, including issue descriptions, statuses, resolutions, and assigned agents.
supportCaseEscalateHist Tracks the history of escalated support cases, including timestamps and responsible parties.
supportCaseEscalateToMap Defines mappings for support case escalation rules and their respective destinations.
supportCaseMediaItemMap Links support cases to associated media items, such as attachments or screenshots.
supportCaseSolutionMap Maps resolved cases to their relevant solutions for knowledge base reference.
SystemEmailTemplate Contains predefined email templates used for automated system notifications and communications.
SystemNote Logs general system notes, including changes made to records by users or automated processes.
SystemNote2 Serves as an extended logging mechanism for tracking changes made to records, providing detailed audit trails.
systemNoteContextType Categorizes system notes by their context, such as creation, modification, or deletion.
SystemNoteField Lists the fields within records that are being tracked for changes and their corresponding metadata.
tag Stores structured data related to tags, supporting various business operations.
task Stores information related to task management, including assignments, statuses, and relationships with other entities.
TaskCompanyMap Maps tasks to companies, facilitating task tracking and management.
TaskContactMap Maintains relationships between tasks and associated contacts, enabling efficient collaboration and follow-ups.
TaskEventFile Stores files related to tasks and events, ensuring proper documentation and accessibility.
taxacct Contains tax-related financial data, including tax codes, rates, and accounting classifications.
taxgroup Organizes tax codes into groups for streamlined tax application in transactions.
taxItemTaxGroup Links tax items to tax groups, ensuring correct tax application in financial transactions.
taxOverrideMethod Defines various methods for overriding default tax calculations in specific cases.
taxperiod Tracks tax reporting periods, aiding in tax filing and compliance requirements.
taxtype Categorizes different types of taxes applied to transactions, such as VAT, sales tax, or service tax.
term Defines financial terms, such as payment terms and conditions for transactions.
Terminationregretted Logs regretted employee terminations, tracking reasons and impacts on the organization.
testCell Stores test-related data, often used for quality control or development purposes.
ThreeDSECommerceIndicator Manages indicators for 3D Secure authentication in online transactions.
ThreeDSTranStatus Records transaction authentication statuses for 3D Secure (3DS) verification.
ThreeDSTranStatusReason Provides detailed reasons for 3D Secure transaction authentication statuses.
ThreeDSVersion Tracks different versions of the 3D Secure authentication protocol used in transactions.
timebill Records time billing data, tracking billable hours for projects and services.
timeLineApprovalStatus Tracks time-related approval statuses, indicating whether a timeline is approved, pending, or rejected.
TimelineType Defines different types of timelines used for scheduling, planning, and tracking activities.
timeOffAccrualFrequency Tracks time-off accrual frequencies, specifying how often employees accumulate leave time.
timeOffAccrualType Defines accrual types for time off, such as vacation, sick leave, and personal days.
timeoffrequest Stores records of employee time-off requests, including approval status and requested dates.
timeOffRequestDetailsMachine Processes detailed time-off request data, including policy validations and automated calculations.
timesheet Records employee work hours, tracking regular, overtime, and project-based time logs.
TimeZone Stores time zone information used for scheduling and localization of timestamps.
topic Manages discussion topics, categorizing and organizing information for collaboration and knowledge sharing.
topicPublish Handles publishing of discussion topics, controlling visibility and access permissions.
topicSolutionMap Maps topics to solutions, linking discussion threads with corresponding answers or resources.
TrackingNumber Stores tracking numbers for shipments, linking them to orders and logistics records.
TrackingNumberMap Maps tracking numbers to specific shipments, ensuring accurate delivery monitoring.
tranPromotion Tracks promotions applied to transactions, including discounts and special offers.
transaction Stores financial transaction records, linking them to customers, vendors, and accounts.
TransactionAccountingLine Records accounting line items for transactions, detailing debits and credits for bookkeeping.
TransactionAccountingLineCostComponent Tracks cost components within transaction accounting lines, breaking down cost structures.
transactionAddressbook Manages address book entries linked to transactions, including billing and shipping details.
transactionAddressMapping Maps transaction records to specific address entries, ensuring accurate delivery and invoicing.
transactionAddressMappingAddress Links address records to mapped transaction addresses for consistency in order processing.
transactionBilling Holds records of billing details associated with financial transactions, including payment terms and due amounts.
transactionBillingAddress Stores billing address information linked to transaction records for invoicing purposes.
transactionBillingAddressbook Manages billing address book entries used in financial transactions.
transactionBillingAddressbookEntityAddress Links entity addresses to billing address book records, ensuring accurate invoicing.
transactionCompetitor Tracks competitor involvement in transactions, providing insights into competitive pricing and bidding.
transactionLine Stores individual line items within a financial transaction, detailing products, quantities, and pricing.
transactionLineAddressMapping Maps transaction lines to specific address records, ensuring correct shipping and billing details.
transactionLineAddressMappingLineAddress Links line items in transactions to detailed address mapping records.
TransactionNumberingAuditLog Maintains a log of transaction numbering changes for audit and compliance tracking.
transactionPartner Stores details about business partners involved in transactions, such as vendors or resellers.
transactionPayeeAddressbook Manages address book entries for payees in financial transactions.
transactionPayeeAddressbookEntityAddress Associates payee addresses with specific entities in financial transactions.
transactionReturnAddressbook Stores return address records linked to transactions, facilitating product returns and refunds.
transactionReturnAddressbookEntityAddress Maps entity addresses to return address book entries for consistent handling of returns.
transactionSalesTeam Tracks sales team members associated with transactions, including commission structures and assignments.
TransactionShipment Stores shipment details linked to transactions, tracking delivery status and logistics.
transactionShippingAddress Records shipping address details linked to transactions for order fulfillment.
transactionShippingAddressbook Manages shipping address book records used in transactions.
transactionShippingAddressbookEntityAddress Links entity addresses to shipping address book entries for consistency in deliveries.
transactionStatus Tracks the status of financial transactions, including pending, approved, and completed stages.
transferorder Stores records of transfer orders, facilitating the movement of inventory between locations.
transferOrderLinkedTrackingNumberMap Maps tracking numbers to specific transfer orders for shipment tracking.
transferOrderShippingAddress Stores shipping address details associated with transfer orders for delivery accuracy.
transferOrderTrackingNumberMap Links tracking numbers to transfer orders, ensuring accurate logistics management.
UnbilledReceivableGrouping Groups unbilled receivables, helping in financial reporting and invoice generation.
undeliveredEmail Tracks undelivered emails, capturing failed email communications and bounce reasons.
unitstype Defines unit types used in measurements for inventory and transaction processing.
unitsTypeUom Stores Unit of Measure (UOM) definitions linked to unit types for product categorization.
unlockedtimeperiod Tracks financial time periods that are unlocked for modifications in accounting systems.
upsellItem Manages upsell items linked to products, suggesting additional purchases during sales transactions.
usage Records usage data, tracking consumption-based billing or system interactions.
UserAuthorizationConsent Stores records of user authorization and consent agreements for data privacy compliance.
usereventscript Tracks user event scripts executed within the system, monitoring workflow automation.
UserOAuthToken Manages OAuth tokens used for user authentication and secure API access.
usrsavedsearch Stores user-saved search queries, allowing quick retrieval of frequently used searches.
usrsavedsearchexec Tracks execution details of user-saved searches, providing audit and performance insights.
validatePostbackStatus Contains records tracking the status of postback validations in NetSuite, ensuring data integrity in external communications.
vendor Stores detailed information about vendors, including company details, contact information, and relationships within NetSuite.
vendorAchAcct Maintains vendor ACH (Automated Clearing House) account details for electronic payments, streamlining financial transactions.
vendorAddressbook Holds vendor address book entries, including primary and secondary addresses, for streamlined vendor communication.
vendorAddressbookEntityAddress Links vendor address book entries to specific entities, ensuring accurate address association and reporting.
vendorbill Records vendor bills issued for goods and services, tracking payment status, due dates, and financial impact.
vendorBillBillingAddress Stores billing addresses linked to vendor bills, ensuring correct invoicing and payment processing.
vendorBillExpenseMachine Tracks expenses related to vendor bills, categorizing costs for financial analysis and reporting.
VendorBillInstallment Manages installment payment details for vendor bills, allowing structured payment plans.
vendorBulkMerge Handles bulk merging of vendor records, preventing duplicate entries and maintaining data integrity.
vendorCampaigns Stores vendor-specific marketing campaigns and interactions to track engagement and business relationships.
vendorcategory Categorizes vendors into predefined groups, aiding in reporting and procurement analysis.
vendorCompanyContact Links vendors to specific company contacts, facilitating business communication and relationship management.
vendorcredit Tracks credits issued to vendors, including refunds, discounts, and other credit transactions.
vendorCreditBillingAddress Stores billing addresses associated with vendor credits for accurate financial tracking.
vendorCreditExpenseMachine Manages expense details linked to vendor credits, ensuring correct financial allocations.
vendorCurrencyBalance Tracks the balance of vendor accounts in different currencies, assisting in international transactions.
vendorpayment Records vendor payments, including payment methods, amounts, and transaction details.
vendorPaymentPayeeAddress Stores addresses associated with vendor payments, ensuring accurate financial transactions.
vendorprepayment Manages prepayments made to vendors before invoicing, assisting in financial planning.
vendorprepaymentapplication Tracks the application of vendor prepayments to invoices, ensuring proper allocation of funds.
vendorRate Stores vendor-specific rate details for services or goods, aiding in pricing negotiations.
vendorRequestForQuoteItemItemPricing Tracks item pricing details linked to vendor requests for quotes, supporting procurement processes.
vendorRequestForQuoteItemItemPricingDiscount Records discount details associated with vendor request for quote items, aiding in cost analysis.
vendorreturnauthorization Tracks vendor return authorizations, ensuring proper processing of returned goods.
vendorReturnAuthorizationBillingAddress Stores billing address details for vendor return authorizations, assisting in financial reconciliation.
vendorReturnAuthorizationExpenseMachine Manages expenses associated with vendor return authorizations, ensuring correct cost tracking.
vendorRolesForSearch Stores vendor roles for search functionality, assisting in access management and permissions.
vendorSubscriptionMessageHistory This table stores the history of messages related to vendor subscriptions, including timestamps, status, and message content.
vendorSubscriptions Contains information about vendor subscriptions, tracking vendor participation in different subscription-based services.
vendorsubsidiaryrelationship Defines the relationship between vendors and subsidiaries, enabling multi-subsidiary vendor management in NetSuite.
verificationMatchCode Stores verification match codes used in authentication or data validation processes within NetSuite.
vsoeDeferralType Maintains records of VSOE (Vendor-Specific Objective Evidence) deferral types used in revenue recognition processes.
vsoeDiscountType Tracks different types of VSOE discounts, which help determine revenue allocations for bundled software arrangements.
vsoeSopGroupType Defines VSOE SOP (Statement of Position) group types, categorizing accounting rules applied to software contracts.
wave Represents a collection or batch of orders processed together in logistics and fulfillment workflows.
wbs Stores work breakdown structure (WBS) elements, which help in project management by defining task hierarchies.
WbsAmount Contains financial amounts associated with specific WBS elements, supporting cost tracking in project accounting.
WbsLine Details individual lines within a WBS structure, providing granular data for project management and costing.
website Holds data related to website configurations, including settings, domain mappings, and metadata.
webSiteFieldsetRecordType Defines the types of fieldsets used within website records, structuring web-related data in NetSuite.
winlossreason Captures reasons for winning or losing deals, assisting in sales performance analysis and forecasting.
workCalendar Manages company work calendars, specifying working days, hours, and scheduling rules.
workCalendarHoliday Stores records of holidays within work calendars, ensuring accurate scheduling and time-off calculations.
workflowactionscript Contains workflow action scripts that automate processes and execute custom logic within NetSuite workflows.
workorder Represents work orders issued for production or maintenance processes, tracking materials and labor usage.
workorderclose Stores information about closed work orders, including completion details and final statuses.
workordercompletion Tracks completed work orders, logging production outputs and associated costs.
workorderissue Records issues encountered in work orders, aiding in troubleshooting and process improvement.
workOrderPartner Links work orders to specific partners, facilitating collaboration and resource management
workOrderSalesTeam Associates work orders with sales teams, allowing revenue tracking and commission calculations.
workplace Defines workplace locations within NetSuite, used for employee assignments and logistical planning.
WorkplaceMainAddress Stores main address details for workplaces, supporting facility management and reporting.
zone Represents different zones within a warehouse or business location, aiding in inventory and space management.

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