NetSuite
Cloud ERP for financials, billing, and procurement
ProPay integrates with NetSuite to execute validated contractor and supplier payments. NetSuite, owned by Oracle, is a cloud ERP covering financials, billing, and procurement, widely used by mid-market operators for their core accounting. ProPay writes payment instructions in only after an invoice passes authorization.
NetSuite, owned by Oracle, is a cloud ERP covering financials, billing, and procurement, widely used by mid-market operators for their core accounting. For ProPay, NetSuite is downstream of a decision already made, the system ProPay writes approved contractor and supplier payment instructions into. Nothing reaches NetSuite until ProPay has validated the invoice against the authorization record that approved the work.
What ProPay sends to NetSuite
ProPay validates contractor and supplier invoices against the authorization decision that approved the repair or parts order, the same decision that carried a confidence level and a documented reason at the time it was made. Only invoices that pass that check reach NetSuite.
Every payment instruction ProPay sends to NetSuite traces back to a specific claim: a validated invoice, an authorization decision made at a known confidence level, and, where a homeowner was involved, the SMS conversation that confirmed the work was done.
That’s what NetSuite receives: a payment instruction with the underlying claim, invoice, and authorization already reconciled, not a raw invoice needing separate review.
How the NetSuite connection works
ProPay writes approved payments and invoice records into NetSuite through its SuiteTalk API, matching your existing chart of accounts.
A Forward Deployed Engineer maps ProPay’s payment records to NetSuite’s chart of accounts and approval structure during deployment, so what lands in NetSuite fits how your finance team already reconciles spend.
What stays in NetSuite
NetSuite continues to own the actual disbursement, reconciliation, and financial reporting exactly as it does today. ProPay supplies validated payment instructions; NetSuite remains the system of record for the money itself.
Data handling and security
Payment data written into NetSuite comes from a company-specific ProPay instance, one client’s financial data is never accessible to another. ProPay is SOC 2 compliant, with both Type I and Type II audits complete.
Every payment ProPay sends to NetSuite is logged alongside the authorization decision and confidence level behind it, so any payment landing in NetSuite is traceable back to the claim that generated it.
Deploying the integration
A dedicated Forward Deployed Engineer sets up the NetSuite connection to match your chart of accounts and payment approval structure before any live payments flow through it.
Frequently asked questions about ProPay and NetSuite
Does ProPay execute payments directly, or does NetSuite still control disbursement?
NetSuite remains the system of record for actual disbursement and reconciliation; ProPay supplies validated payment instructions once its own authorization check has passed.
How does ProPay connect to NetSuite?
ProPay writes approved payments and invoice records into NetSuite through its SuiteTalk API, matching your existing chart of accounts.
Can a payment reach NetSuite without authorization?
No. Every invoice is validated against the authorization record before it’s written to NetSuite, recommendations outside configured thresholds route to a person first.
