Glossary
What is netsuite healthcheck?
A NetSuite HealthCheck is a focused assessment of where a brand's NetSuite environment is creating friction (manual workarounds, brittle integrations, untrustworthy numbers) and which fixes are worth doing first. It is the entry point Altura uses to surface the highest-value workflows to convert before committing to a build.
The definition
NetSuite HealthCheck explained
Growing brands accumulate NetSuite debt: custom fields nobody owns, integrations held together by hand, reports rebuilt every close. A HealthCheck names that debt plainly. It traces where the work actually breaks, where the money and risk concentrate, and what is worth fixing versus living with.
The HealthCheck is a way in, not the work itself. Its job is to point: to tell a team which workflow to convert first and shape the governed build their team can own. It leads to scoped, prioritized action rather than a generic recommendations deck.
Where this shows up at Altura
FAQ
Frequently asked question
See also
Related terms
Related terms that come up in the same workflows.
01
Celigo flow
A Celigo flow is a configured integration pipeline in the Celigo platform that moves data between systems, for example syncing orders from a storefront into NetSuite, on a schedule or in response to an event. Flows are where integration logic, error handling, and retries live for a NetSuite-centered operation.
Read the definition02
Month-end close automation
Month-end close automation converts the manual, repetitive parts of closing the books (reconciliations, evidence gathering, report rebuilds, exception reviews) into a governed, repeatable workflow in NetSuite. The goal is a close that ties out without needing explanation, with human sign-off retained where judgment and risk matter.
Read the definition03
Settlement reconciliation
Settlement reconciliation is the process of proving that each marketplace remittance statement and payout deposit matches the underlying orders, refunds, fees, reserves, and adjustments in NetSuite. It is not the statement itself. It is not the bank transfer event; it is the governed matching workflow that explains variances before finance posts the close.
Read the definition04
Exception handling
Exception handling is the governed path an automated workflow follows when something does not fit the rules: a payout that will not match, a stuck order, an integration error. Instead of failing silently or forcing a person to hunt, the exception is classified, routed to the right owner with context, and resolved with human approval where it matters.
Read the definitionDealing with netsuite healthcheck in your operation?
Tell us where the work breaks today, and we'll help scope the governed workflow worth converting first.
