NetSuite Integration
Eliminate manual reconciliations and post audit-ready revenue numbers to NetSuite in 5 days or less.





Many finance teams consider replacing NetSuite or adding expensive modules when revenue recognition becomes complex. But the real issue isn't your ERP—it's transforming messy payment platform data into GAAP-compliant journal entries. HubiFi connects directly to your payment platforms via native API, applies ASC 606 rules, and posts clean journal entries to NetSuite with automated revenue close segmented by currency, entity, product line, or promotion. No NetSuite overhaul required.

Teams often have to download multiple reports to clean, format, summarize, categorize, and then post simple journal entries into NetSuite. HubiFi integrates natively via API to your upstream payment and billing data, cleans, and applies ASC 606 rules to generate detailed journal entries with proper revenue/deferred revenue splits, FX calculations, and account mapping that post directly to NetSuite—no spreadsheet manipulation required.


Perfectly account for revenue to cash from your systems according to ASC 606 automatically, daily.
Automate ASC 606 schedules and post audit-ready journals to your ERP.
HubiFi closes and reconciles daily, meaning you can answer on-demand questions on revenue performance down to an atomic level.
.png)
