ERP and storefronts that hold up after go-live.
Four practices, one team: the storefronts your customers buy through, the NetSuite modules that move orders and stock, the custom build for everything NetSuite doesn’t do, and the accounting operations that get it all into the ledger correctly.
Four practices, one team
The person on the call is the person on the project.
SuiteCommerce & Site Builder storefronts
Custom themes, site extensions, Reference Checkout, and the performance work that follows go-live.
- A storefront that renders slowly and nobody can say why
- Site Builder that needs to become SuiteCommerce
- An extension that has to survive the next release
Orders, inventory and fulfillment
NetSuite’s own modules, set up to match how you actually operate, from inventory and bins to work orders, planning and warehouse management.
- Inventory that never quite matches the count
- Transfer orders and multi-location moves done by hand
- Purchasing run off a spreadsheet forecast nobody trusts
Custom SuiteScript and workflows
For the things NetSuite was supposed to do and doesn’t. Deployed through SDF, version-controlled, documented at handoff.
- An approval that locks the record, so every correction means unwinding it
- Refurb and repair that NetSuite has no model for
- A 3PL that ships your orders but can’t tell NetSuite
Finance and accounting operations
The controller’s side of NetSuite: bank reconciliation, positive pay, intercompany, and the models that land payroll, settlements and card processors in the ledger correctly.
- Payroll hitting the wrong accounts every period
- Positive pay your bank wants and nobody can configure
- Amazon, Walmart and Michaels settlements by hand
What that looked like
One storefront written rather than configured, and two systems that do what NetSuite has no model for.
WesSpur Tree Equipment
A full SuiteCommerce build, our theme and our extensions, for a catalog and customer pricing that don’t fit the shipped templates.
An approval that holds the order without freezing it
The control sits on the state instead of locking the record, so corrections don’t mean unwinding the approval.
Tracking the parts a repair gives back
Displaced parts now post into a QC quarantine bin: visible, searchable, and out of available-to-promise.
Technical work, from people who’ve run the books
No account manager, no offshore bench, no bait and switch.
The person on the call is the person on the project
No handoff after the statement of work is signed.
We don’t live on Oracle referrals
So we’ll tell you when NetSuite is the wrong answer, and we’re one of the few who will move you off it.
A former CFO reads the entry before anyone writes the formula
Very few consultants have signed the financial statements of a company running the system they configure.
You get the documentation, not a promise of it
Developer guides, architecture diagrams and dated decision logs, handed over in the repository.
Recent writing
What we’re running into in NetSuite accounts right now.
What clients say
This whole process can be done in less than an hour! Clearly valuable savings on productive employee time.
The other solutions we considered weren’t as familiar with the nuances of NetSuite, so we didn’t trust that they would work… We are able to reconcile every transaction to the penny weekly.
The one-problem hour
Bring us the single thing that’s most broken. We spend an hour on it with you, in your account, and send written notes afterward, whether or not you hire us.
- A saved search that returns the wrong number and nobody knows why
- A script the last consultant left with no documentation
- A month-end step somebody does by hand and dreads
- A storefront page that takes eleven seconds to load
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