NetSuite runs the money side of the business, from vendor bills to customer invoices, but the contracts behind those numbers usually live apart from the ledger. Connect NetSuite to Vallor so Val can reconcile vendor, customer, and billing records against the terms that are supposed to govern them.
What lives in NetSuite
NetSuite holds the transactions and master records finance depends on. Here is what Val reads and why each record matters against a contract.
| In NetSuite | Why it matters next to your contracts |
|---|---|
| Vendor bills | Check billed amounts against contracted pricing and payment terms. |
| Purchase orders | Match committed spend to the supplier agreement that governs it. |
| Sales orders | Tie each order to the customer contract that sets its terms. |
| Customer and vendor records | Match every counterparty to the contract that should be on file. |
| Invoices and billing schedules | Compare invoiced amounts and timing to contracted rates and renewal terms. |
What you can ask
Once NetSuite is connected, finance can test whether the numbers actually match the contracts.
Which vendor bills exceed contracted pricing?
Val compares NetSuite bills to the pricing clause and lists the ones that run over, with the source term attached.
Which sales orders lack a governing contract?
Val flags orders with no matching customer agreement so revenue is not booked against thin air.
Which customer contracts renew while a subscription is still active?
Val returns the renewals alongside the active billing so nothing lapses mid-service.
Are we paying any vendor with no contract on file?
Val surfaces vendor bills flowing to counterparties without an agreement.
Connecting NetSuite
NetSuite connects through a pre-built connector in minutes. NetSuite stays your system of record for finance. Vallor reads the records it needs and keeps contract terms next to the numbers they govern.
Last updated: 2026-07-07. This page is part of Vallor's contract intelligence content library.
FAQ
Does Vallor change data in NetSuite?
No. NetSuite stays your financial system of record. Vallor reads vendor, customer, and billing records and reconciles them against contract terms, with the source clause shown for every flag.
Can Vallor catch billing that breaks contract terms?
Yes. Val compares NetSuite bills and invoices to contracted pricing, discounts, and payment terms, and points to the clause behind any mismatch.
How does Vallor handle renewals with active subscriptions?
Val ties customer contracts to their NetSuite billing, so renewals surface with the active subscription attached and land with an owner.
How long does the NetSuite connection take?
The connector is pre-built, so most teams connect NetSuite in minutes and start reconciling the same day.
