issues with the API results of a Saved Search we created to pull Balance Sheet data using NetSuite’s API. In the interface, after filtering by a subsidiary and end date (leaving from date blank), the “Amount” column of the saved search matches perfectly to the amounts in the Balance Sheet report for the selected subsidiary. However, the API results we get back from the API are different for Cash accounts and the “Amounts Payable-Other” account (all of the other account values are correct).