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Basics of Intercompany Accounting in NetSuite

intercompany accounting

Companies with multiple subsidiaries having transactions in-between them have to follow the intercompany accounting protocols.

As we talk on the various accounting standards and SOX protocols to be adhered while posting transactions to an account, intercompany accounts are the GL Accounts to address the related transactions between subsidiaries to avoid mis-posting these balances to other accounts subsidiary-specific accounts.

In return, these accounts track the inter-company amounts to be eliminated towards the period-closure events.

With a whirlpool of transactions between sister-concerns is a more of a worry for financial reporting, NetSuite has its own set of features available to manage these transactions both manually and in a regularized automated framework as follows.

Here are the ABCs of Intercompany Accounting setup in NetSuite.

Intercompany Accounting in NetSuite

Inter-Co Accounts are nothing, but GL accounts marked with their Inter-Co Checkboxes.

NetSuite creates Intercompany (Inter-Co) Accounts by creating a new account or modifying an existing account.

These can be classified as asset, liability, income and expense depending on the nature of transactions between them.

Identified as Inter-Co accounts based on checking the Eliminate the Inter Co Transactions while setting up the account itself; apart from Bank/Credit Card/Non-Posting, System Generated Accounts and Fixed Asset, all types of accounts can be marked as Inter-Co Accounts.

Inter-Co Customers and Vendors Setup

NetSuite allows setting up of Inter- Co customers and vendors, manually by using the Represents Subsidiary feature on selecting the Custom Inter-Co Form while creating the Customer/Vendor and setting up a Default Receivables/Payables account on the Finance Tab.

Inter-Co Inventory Setup

While setting up an item, NetSuite gives us an option to have Eliminate Intercompany Transactions box for the account selected as the Gain/Loss Account on the Accounting Subtab. This eliminates the gain/loss amount when you run intercompany elimination at period close.

For arm’s length intercompany inventory transfers, the Eliminate Intercompany Transactions task on the Period Close Checklist does not return intercompany clearing accounts to zero. Reporting at the subsidiary level displays the intercompany clearing account with an accumulated balance.

Intercompany Accounting Manual JEs

NetSuite supports Manual as well as Automated Inter-Company Transactions and Settlement.

While entering the manual JE available for Elimination, click the Show Box for Eliminate label on the line level. This makes the entry available for elimination towards the month-end closures.

Enabling Automated Inter-Co Settlement and Inter Company Framework

Enable Features allows us to turn on Automated Inter-Co Settlement with an option to turn on Inter-Co Framework to enable auto-netting of transactions on Period Close. Only pre-requisite is having NetSuite One World.

With this feature enabled, NetSuite automatically generates elimination journal entries based on the intercompany transaction lines and intercompany journal lines marked to be eliminated. As part of the period close process, NetSuite evaluates the activity in your intercompany accounts.

It then creates the journal entries to eliminate artificial profit and loss amounts. Without this feature enabled, you must manually create and track all intercompany transactions, and then manually create and post elimination journal entries.

When an administrator enables the Intercompany Framework feature or the Automated Intercompany Management feature, NetSuite provides access to the Intercompany Preferences page to further enhance the features as per preferences.

The Per-Line netting and Transfer Pricing feature is only available for Inter-Co Framework Enablement.

Thus, complexities involving manual control over transactions and with compliance to SOX requirements it is always recommended to follow and enable Automated Inter-Co Management and its Framework to get things streamlined for auditing and accurate financial reporting.

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Trek Travel Streamlines Travel Protection Integration with OdeCloud’s experts

Looking to streamline your operations with more automations? Keith shares an OdeCloud project.

#netsuite

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Project Outcomes

This new integration system transformed our travel protection service.

  1. Efficiency Gains: Completely automated the process, eliminating the need for monthly roster reconciliation.
  2. Enhanced Guest Experience: Guests benefited from a smoother booking process with transparent travel protection options tailored to their needs.
  3. Accuracy in Pricing: The integration ensured precise calculations based on complex variables.
  4. Scalability: The system can easily accommodate future growth and changes in travel protection offerings.

Background

Our company offers guests the option to protect their travel investments through a travel protection plan. This service is crucial, as it provides coverage in cases where guests need to cancel their trips due to unforeseen circumstances such as illness or emergencies. However, the process for managing this service was previously cumbersome and inefficient, requiring manual coordination and reconciliation with the travel protection partner.

Challenge

We needed a seamless integration within NetSuite to handle complex calculations for travel protection costs. The solution needed to account for multiple variables, including:
Guest-specific factors such as age and location.
Travel details like destination, total cost, and type of coverage (e.g., pre-trip hotels, post-trip hotels, flights).
Dynamic pricing calculations based on these variables.

Before partnering with OdeCloud, the process was manual and error-prone, involving monthly exchanges of rosters between our team and the travel protection provider. This created inefficiencies and delayed customer service.

Solution

OdeCloud worked with us to design and implement a fully integrated travel protection solution within NetSuite. Key features of the solution included:


1. API Integration: OdeCloud enabled real-time communication with the travel protection partner’s API. This allowed us to dynamically calculate the cost of travel protection based on the guest’s specific details.
2. Seamless Booking Experience: The integration allowed the travel protection cost to be automatically added as a line item to guest bookings within NetSuite.
3. Flexible Adjustments: Guests could easily add or cancel travel protection directly through NetSuite without requiring interaction with third-party systems.
4. Eliminating Manual Processes: The previously manual reconciliation process was replaced with automated inline API transactions, eliminating errors and saving significant time.

Conclusion

This integration is one of the most impactful projects we’ve undertaken, and it holds a special place in our transformation journey. With OdeCloud’s expertise, we achieved a solution that not only streamlined operations but also elevated the guest experience. This project exemplifies the power of technology in solving complex business challenges and enhancing customer service.