Optimize financial workflows with our NetSuite integration

The seamless and robust integration between NetSuite and Gorilla Expense unlocks an efficient way to streamline your financial workflows. Gorilla Expense’s comprehensive suite of features connects directly with key NetSuite modules, allowing you to eliminate manual data entry and automate operations.

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Streamline Finance Operations with NetSuite Integration

Integration with Expense Reports

Create and submit expense reports and export them to NetSuite ensuring real-time visibility and centralized management.

Accurate Categorization and GL Coding: All expenses are correctly mapped to your Chart of Accounts, eliminating manual adjustments.

Stay audit-ready: Clean, organized, and consistent financial records help with better compliance and make internal audits smooth.

NetSuite Employee Expense Report
Open NetSuite Employee Expense Report
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NetSuite Bill Screenshot 2

Integration with Bills

Eliminate manual data entry: By syncing bill details directly to NetSuite, you can eliminate duplicate data entry and human error, as it automatically captures key information like vendor details, line items, and due dates.

PO Matching & Approval Workflows: Integrate with your existing purchasing workflows to ensure only approved and matched bills are recorded.

Learn more about this powerful integration and know how it can empower your finance team

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Find out more about the Gorilla Expense integration
with Microsoft Dynamics GP

Here’s what unlocks with the Gorilla Expense and
NetSuite Integration

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Versatile Solutions

From reimbursements to vendor-based expens billings, it allows customers to choose the method that fits their process.