Setting up the NetSuite integration

Before you get started

Before you can set up the integration, the following accounts need to be created in NetSuite:

Account

Description

Type

Pleo Bank Wallet

To track transactions made with Pleo Cards and Pleo wallet.

Bank Account

Pleo out-of-pocket Account

To track any out-of-pocket expenses or reimbursements made by employees

Other Current Liability

Pleo External Reimbursement Account

To track any reimbursements made outside of the Pleo's direct Reimbursements functionality

Other Current Liability



You can create these accounts by navigating to Setup > Accounting > Chart of Accounts > New



Connecting Pleo to NetSuite

  1. Go to Accounting in the Pleo app

  2. Select NetSuite in the list of Popular systems and confirm

  3. You'll be redirected to install the Pleo for NetSuite app

  4. Within NetSuite, click on Connect > Authorise Pleo and NetSuite for transfer of data

  5. Update Script deployments in NetSuite

    1. Go to Customisation > Scripting > Script deployments

    2. Add a Scheduled filter for the deployment Type

    3. Make the following edits for the Pleo - Scheduled checks and Pleo - Receipt Schedule scripts:

      • Set PRIORITY to High

      • Change START TIME to 12:00 AM

      • Ensure REPEAT is set to Every 15 min

      • Save



Setting up the accounts

You can set up the accounts within NetSuite by following these steps: Transactions > Pleo > Dashboard > click on the edit pencil to connect the accounts.


Setting up your tax codes, categories and tags

You can apply VAT in Pleo by creating a tax code and attaching it to a specific category.

  1. Head to NetSuite > Transactions > Pleo > Dashboard.

  2. Click on “Data Mapping Information” on the Pleo dashboard inside NetSuite.

  3. Find your Tax codes:

    • Select “Tax Codes”

    • Map NetSuite Internal ID to “Code”

    • In the tax code table, add all the VAT rates

    • Head to the Categories tab and assign a tax code to each category

  4. Find your categories:

    • Select “Chart of Accounts”

    • Map NetSuite Internal ID to “Account”

  5. Find your tags

    1. Head to NetSuite > Transactions > Pleo > Tag Management

    2. Decide if you want the tags to be visible on Netsuite’s Transaction Body, Line Item or both.

      • Body: Tags will be part of the body description of the transaction

      • Line Item: Tags will appear per-line in a transaction

    3. Use the drop down under Transaction Body Fields or Transaction Line Items to find the available dimension. 

    4. Select the Dimensions to create the tag groups in Pleo.

    5. Wait 15 minutes for the tag group to be created in Pleo and the tags to be synced




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