We are implementing NetSuite for a small US based ...
# accounting
s
We are implementing NetSuite for a small US based publicly held client. They have European subsidiaries that have a second set of account numbers that the client's director of accounting says are used for various statutory requirements. I believe the ones in Germany are called Davex account numbers. Their subsidiary locations include Germany, France, Denmark. Is there a more efficient way of dealing with these accounts than creating separate custom fields in the account numbers for all of the European Union subsidiaries?