FAQ – NetSuite Bookkeeping Services
Common questions and answers about our netsuite bookkeeping services.
Talk to a Bookkeeping Expert TodayThis FAQ page addresses the most common questions from businesses using or transitioning to NetSuite. Whether you’re already operating on NetSuite or just evaluating your bookkeeping options, this guide covers service features, technical capabilities, and onboarding.
Frequently Asked Questions
What types of businesses use NetSuite and benefit from your services?
We support SaaS firms, ecommerce brands, wholesale/distribution companies, consulting agencies, and multi-entity organizations who need advanced bookkeeping within the NetSuite ecosystem.
Do you offer NetSuite cleanup for messy or outdated accounts?
Yes. We specialize in bringing neglected or improperly configured NetSuite accounts up to date—cleaning up years of transactions if needed.
How is bookkeeping different in NetSuite vs. QuickBooks?
NetSuite supports multi-entity management, custom records, and advanced modules like revenue recognition—so it requires more technical bookkeeping precision compared to QuickBooks.
Can you handle multi-currency and global consolidation?
Yes. We support NetSuite’s multi-currency features, global charts of accounts, and consolidated reporting across subsidiaries.
What reports do you generate each month?
We deliver monthly P&L, balance sheet, and cash flow reports, along with AR/AP aging, deferred revenue, and project/job-level summaries.
Can you reconcile Stripe, Shopify, or PayPal with NetSuite?
Yes. We reconcile transaction-level data and payout summaries from your merchant platforms with NetSuite GL entries.
Do you help with revenue recognition and ASC 606 compliance?
Absolutely. We support setups that require subscription billing, milestone payments, and deferred income recognition under ASC 606.
Can you work within our NetSuite environment, or do you export data?
We work directly inside your NetSuite instance with accountant-level access. We don’t pull data into third-party systems unless requested.
Do you provide job costing or department-level reports?
Yes. We use NetSuite’s class, department, and location tracking to create segmented financials by team, service, or region.
How secure is my NetSuite data with RemoteBooksOnline?
All access is controlled through your NetSuite permissions. We follow strict user-level controls and never move your financial data outside your system.
Do you support integrations with Salesforce, HubSpot, or NetSuite CRM?
We work with your integration data exports and ensure transactions from CRM workflows reconcile properly in NetSuite.
What’s the cost of NetSuite bookkeeping?
Pricing is based on number of entities, monthly transaction volume, and reporting complexity. Most clients fall into our premium-tier service plans.
How fast can you get started?
Initial onboarding typically takes 5–10 business days depending on access, cleanup scope, and system complexity.
Do you provide tax-ready books or interface with our CPA?
Yes. All books are prepared for tax season with reconciled ledgers and year-end financials. We’ll coordinate directly with your tax preparer if needed.
How do I start using RemoteBooksOnline with NetSuite?
Schedule a free consultation. We’ll assess your needs, review your current system setup, and build a bookkeeping plan tailored to your NetSuite environment.
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