Native NetSuite integration
Turn NetSuite data into actionable financial reporting
Quickbidata connects directly with NetSuite through a purpose-built connector that automates the extraction, structuring and refresh of financial information. Get a reliable view of your P&L, cash flow, working capital, treasury and budgets without manual processes.
Secure connection · Automatic refresh · Full traceability

NetSuite
REST connector
Quickbidata
Ingresos Real vs Budget (k€)
YTD · mensualP&L por línea
jun 2026| Concepto | Real | Bud | Δ |
|---|---|---|---|
| Ventas | 1.450 | 1.300 | +11,5% |
| COGS | −812 | −760 | −6,8% |
| Margen bruto | 638 | 540 | +18,1% |
| OPEX | −295 | −280 | −5,4% |
| EBITDA | 343 | 260 | +31,9% |
From NetSuite to reporting
From NetSuite to a complete financial view
NetSuite accounting data contains every signal you need to analyse the business, but turning it into useful financial reporting requires structure, consistent criteria and automation. Quickbidata adds that financial layer between NetSuite and decision-making.
- 01
NetSuite
Source of accounting and financial movements.
- 02
Quickbidata REST connector
Secure data extraction via REST services.
- 03
Automatic refresh
New movements are downloaded automatically every two hours.
- 04
Structuring & recalculation
Quickbidata updates mappings, financial models, KPIs and queries.
- 05
Financial dashboards
Information ready for analysis and decision-making.
Automatic and manual refresh
Your data up to date without manual processes
Automatic refresh every two hours
Quickbidata periodically queries NetSuite and downloads new movements. The process runs automatically to keep financial reporting current.
Manual refresh on demand
When you need the information instantly, you can trigger a manual refresh from Quickbidata. The full download, processing and recalculation kicks off.
Manual refresh process
The user doesn't need to run queries, export files or modify data models.
What you can analyse
All NetSuite financial reporting in a single environment
P&L
Analyse revenue, costs, margins, EBITDA and result by entity, department, location, project or cost centre.
Cash flow
Build and analyse your cash flow with up-to-date information and traceability down to the source movement.
Working capital
Control customers, suppliers, inventory and operating funding needs.
Treasury
Visualise bank balances, debt, liquidity and cash position.
Budgets
Compare actuals vs. budget, analyse variances and update forecasts.
Customer & supplier aging
Check outstanding invoices, due dates and aging buckets.
Dashboards & ratios
Centralise the main financial and operational indicators of the company.
Adjustment entries
Apply reporting adjustments without modifying the ERP information directly.
Multi-entity & multi-dimension
Analyse several entities, departments, locations and projects according to NetSuite's model.
An additional layer over NetSuite
Quickbidata doesn't replace NetSuite: it extends its analytical capability
NetSuite remains the system of record and the primary source of transactions. Quickbidata connects to its data, structures it with financial criteria and turns it into metrics and dashboards ready for decision-making.
Security
End-to-end secure connection
The integration protects financial information throughout the process, from the connection with NetSuite to its visualisation in Quickbidata.
Secure REST connection
The integration with NetSuite uses REST services with securely managed credentials.
Controlled access and permissions
Every connection uses specific permissions, limited to the information the reporting needs.
Encrypted transmission
Information is encrypted end-to-end throughout the refresh process.
Process traceability
Full log of each refresh: when it ran, what was downloaded and what was recalculated.
Benefits
Less time preparing data. More time analysing the business.
Eliminate manual exports from NetSuite.
Reduce dependence on spreadsheets.
Automate recurring financial reporting.
Keep a single reliable source of truth.
Cut errors and manual tasks.
Analyse several entities and dimensions.
Improve indicator traceability.
Speed up monthly close and analysis.
Drill from any indicator down to the accounting entry.
Implementation
An integration ready to deploy quickly
Implementation time depends on the complexity of the financial model, the entities and the dimensions you need to analyse.
- Step 1
Connection
We configure secure access to NetSuite.
- Step 2
Extraction
We activate the connector and validate downloaded movements.
- Step 3
Financial setup
We define mappings, structures, dimensions and indicators.
- Step 4
Go-live
We publish dashboards and automate refreshes.
Use case
From accounting entry to decision
Quickbidata lets you move from an executive view to the underlying detail while keeping data traceability intact.
FAQ
Answers to your questions about the NetSuite integration
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