Set up the Oracle NetSuite bank feeds integration
Set up our integration with Oracle NetSuite bank feeds
Before you can establish a bank feed to Oracle NetSuite, you need to set up the Oracle NetSuite accounting integration in the Codat Portal.
In this article, we explain how to:
- Create a company and a data connection to Oracle NetSuite.
- Provide Codat with source bank accounts your SMB users can connect to.
- Redirect the user to the Codat-provided account mapping user interface to connect their source bank accounts to target bank accounts in NetSuite.
Prerequisites
Bank feeds functionality is part of our existing Oracle NetSuite accounting integration and uses the same bundle. To enable bank feeds, you must first enable the NetSuite integration.
To learn more about installing the NetSuite bundle, see our overview of the NetSuite company linking journey.
Create a company
Use our Create company endpoint to create a
id
and the redirect URL redirect
. POST https://api.codat.io/companies
{
"name": "{CompanyName}"
}
Create a connection
Use our Create connection endpoint to establish a data connection to NetSuite for the company you added. Specify the company ID in the URL path and the NetSuite platform key in the body:
POST https://api.codat.io/companies/{companyId}/connections
{
"platformKey": "akxx"
}
The endpoint returns a dataConnection
object in PendingAuth
status, containing a connection id
and a linkUrl
. Later, you'll use the linkUrl
to redirect the SMB user to the account mapping UI.
{
"id": "b52ae406-bdef-40df-a586-ed96bef3590f",
"integrationId": "4fb72939-e59d-4e8b-90f2-59b85b7fc75d",
"integrationKey": "akxx",
"sourceId": "76b3c892-c852-4aec-a835-e453497a99d5",
"platformName": "Oracle NetSuite",
"linkUrl": "https://link-api.codat.io/companies/...",
"status": "PendingAuth",
"lastSync": "2023-11-10T15:07:46.2597036Z",
"created": "2023-11-10T11:23:48.0000000Z",
"sourceType": "Accounting"
}
Add bank accounts
Use the Create source account endpoint to add a new source bank account:
POST /companies/{companyId}/connections/{connectionId}/connectionInfo/bankFeedAccounts
For the {connectionId}
parameter, use the connection id
you received in the response from the Create connection
request. In the request body, specify a source bank account you want to make available to the SMB user. The endpoint returns a 200
code and the details of the created bank account.
For example, to add a credit card account, send the following request:
{
"id": "acc-002", // set to desired unique ID
"accountName": "Credit Card",
"accountType": "Credit",
"accountNumber": "12345670",
"currency": "GBP",
"balance": 99.99 // can be 0
}
Read next
- Continue through the remaining steps of establishing a bank feed.
- Learn more about using Codat's mapping UI and mapping via our API if you prefer to host your own UI.