SuiteApps are purpose-built, high-value applications developed on the SuiteCloud platform to explore and extend Oracle NetSuite's capabilities. Since focusing on Oracle NetSuite in 2009, Hitpoint Cloud has launched multiple SuiteApps, continuously enriching features and iterating updates to ensure our solutions not only meet your current needs but also possess future-proof resilience.
Among these, financial localization stands as a core highlight within the Hitpoint Cloud SuiteApps ecosystem. It enables the generation of statutory reports and ledgers compliant with Chinese tax, audit, and internal management requirements without altering global Oracle NetSuite settings.
Notably, in 2025, Hitpoint Cloud launched a completely revamped 9.0 version of its China Finance App, building upon the existing 8.0 release and fully integrating customer feedback and usage experience.
01
Solution Advantages
Core Advantages Compared to Existing Solutions
Addresses the limitation of Hitpoint Cloud's financial localization products regarding indirect method cash flow statement functionality.Resolves data gaps in Oracle NetSuite cash flow statements, enhancing data integrity and usability.
Core Advantages Compared to Building from Scratch
Seamlessly leverages historical cash flow statement item data from Oracle's localized products, ensuring business continuity and significantly reducing implementation costs.Features higher product maturity for rapid deployment and go-live.Ensures data quality and reliability through transparent processing workflows and convenient verification mechanisms.

02
Functionality/Interface Overview
Select and input cash flow statement items on relevant documents as needed
For transaction documents generating cash flow statement items, choose and enter the corresponding items.

View Cash Flow Statement Reports
Access the Cash Flow Statement view under the Reports menu path.
Select the corresponding subsidiary and accounting period, then click Query to view report details.Click “Export to Excel” to download the report data in Excel format.

Excel Report Template (Downloadable from File Cabinet)


03
Functionality/Internal Logic Overview
All data values originate from Transaction records; no additional custom transaction generation occurs.
The calculation logic for cash flow statement item amounts follows standard implementation requirements as follows:
(All can be customized per client needs)

04
Verifying Cash Flow Statement Data
Under the Data Verification menu path, access the interface to view source data for the cash flow statement:
Select the relevant subsidiary and accounting period to query the corresponding data sources.Click the “Download” button to obtain an Excel file for data reconciliation.The data includes the aggregation logic for each transaction document to the cash flow statement, along with verification of cash flow statement item accuracy.

Your vision drives Hitpoint Cloud. We help you turn it into reality.
For 17 years, we've focused on Oracle NetSuite, continuously optimizing and deeply developing SuiteApps based on real customer scenarios. We expand their functional boundaries and industry adaptability, ensuring each application not only solves current pain points but also supports enterprises' future digital resilience and global expansion.
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