FinBridge - your bridge between NetSuite and Finance.

Additional NetSuite Services

Focused NetSuite support when you need help with a specific issue.

Not every business needs a full transformation package. Sometimes you need focused support with a specific NetSuite requirement, such as chart of accounts design, reporting, data preparation, migration support or ongoing
finance systems support.

Many of these services can be delivered as one-off pieces of work, or used as a starting point for ongoing NetSuite Finance Systems Managed Support.

Services available

Chart of Accounts Design for NetSuite

Support for businesses preparing to implement NetSuite and needing help designing their chart of accounts before configuration begins. This is useful when you do not need the full NetSuite Finance Architecture Blueprint, but you do need focused help designing a chart of accounts that supports reporting,
subsidiaries, segmentation and future growth.

Typical support includes:
  • Review of your current chart of accounts

  • Recommendations on chart of accounts structure for NetSuite

  • Account naming, numbering and hierarchy recommendations

  • Guidance on what should sit in the chart of accounts versus segments or other reporting dimensions

  • Practical recommendations to take into NetSuite personalisation or configuration sessions

Custom Report Building

Support building reports, saved searches, dashboards and reporting views inside
NetSuite. This is useful when finance teams are relying too heavily on Excel because NetSuite reports are not giving them the outputs they need.

Typical support includes:
  • Saved searches

  • SuiteAnalytics workbook support

  • Dashboards, reminders and portlets

  • Management reporting outputs

  • Transaction and operational reporting

  • Report troubleshooting

Data Cleansing & Preparation

Support preparing finance and operational data for upload, migration, reporting or
cleanup. This is useful when data needs to be cleaned, structured, validated or reconciled before it can be used properly in NetSuite.

Typical support includes:
  • Data cleansing and review

  • Template preparation

  • Field mapping support

  • Validation checks

  • Reconciliation support

  • Support preparing data for import or migration

Historical Data Migration Support

Support preparing and validating historical finance data for NetSuite. This is useful where a business wants to bring historical balances, transactions or reporting data into NetSuite in a controlled and finance-aware way.

Typical support includes:
  • Historical trial balance preparation

  • Transactional journal preparation, where required

  • Opening balance support

  • Mapping and validation support

  • Reconciliation checks

  • Review of upload templates

NetSuite Finance Systems Managed Support

Ongoing NetSuite finance systems support for businesses that want experienced
help available each month. This is the natural next step for clients who want continued support after a focused piece of work, implementation, optimisation project or reporting improvement. It gives your finance team access to regular NetSuite support for reporting, user questions, process issues, small improvements, troubleshooting and day-to-day system management.

Typical support includes:
  • Monthly NetSuite support blocks

  • User questions and troubleshooting

  • Saved search, reporting and dashboard support

  • Workflow, approval and role/permission queries

  • Small system improvements and configuration support

  • Process and control advice

  • Support prioritising fixes, enhancements and open issues

  • Regular check-ins and recommended next steps

General NetSuite Consulting

Focused consulting support for specific NetSuite questions, decisions or challenges. This is useful when you need an experienced view on a particular issue but do not yet need a full service package.

Typical support includes:
  • NetSuite finance process advice

  • Setup and configuration review

  • Reporting and controls advice

  • Process improvement recommendations

  • Partner or internal team support

  • One-off advisory sessions

Contact us

Why FinBridge?

FinBridge brings together experience working inside finance teams and deep NetSuite implementation knowledge.

That means our support is based on both sides: how NetSuite works, and how finance and operations teams actually need to use it day to day.

How it works

1. Discuss

We start with a short Fit Call to understand what support you need.

2. Scope

We agree the outcome, deliverables, timeline and level of support required.

3. Deliver

We provide focused NetSuite support, recommendations or deliverables, with clear next steps where further work is needed.

Investment

Additional services are scoped based on the type of support required, complexity, urgency and expected deliverables.

Support may be delivered as a fixed-fee piece of work, a day-rate engagement, an hourly advisory session or a monthly managed support block, depending on what is
most appropriate.

Book a free 30 minute consultation

Fill out the form to book a free 30 minute consultation with Peter. We will get back to you as soon as possible.

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