


NetSuite Power BI Reporting & Dashboards
We connect NetSuite to a governed Power BI model - consolidated multi-subsidiary P&L, cash flow, AR/AP and inventory, so month-end stops being a manual export.
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Stop Exporting: Australia's NetSuite Power BI Specialists
If your month-end means manually exporting from NetSuite saved searches and wrestling SuiteAnalytics into spreadsheets, you are not alone - and you do not have to keep doing it. NetSuite holds the data, but its native reporting gets slow and rigid for real management and board reporting. Report Simple connects NetSuite to a governed Power BI model that delivers consolidated, multi-subsidiary finance and operations reporting automatically. We are Australian specialists who have built exactly this kind of ERP integration, so you stop exporting and reconciling by hand and start working from live, trusted numbers - while we handle the connection and the modelling for you.
Group Consolidation
We consolidate your NetSuite subsidiaries, currencies and business units into one governed model, so you get a true group view and each entity, produced automatically rather than by hand.
No More Exports
Your month-end pack assembles itself from a governed model with validated numbers, so finance stops exporting from saved searches and reconciling spreadsheets every cycle.
Finance & Operations
Beyond finance, we build inventory and revenue analytics for wholesale, distribution and manufacturing, connecting working capital and margin to the same trusted NetSuite model.
Secure Connection
We connect through NetSuite's supported methods on Microsoft's secure platform with access controls, so the data stays protected and current and you manage none of the plumbing.
Proven ERP Experts
Connecting ERPs to Power BI is what we do across 574 projects for 190 Australian clients, so you get experts who have built exactly this kind of NetSuite integration before.

What We Build on Your NetSuite Data
Governed NetSuite Power BI Model
We build a governed Power BI semantic model over your NetSuite data, the layer saved searches and SuiteAnalytics never give you. Connected through NetSuite's supported data-access methods, the model has consistent definitions, proper relationships and a reliable scheduled refresh, so the numbers reconcile and the reports do not break under load. This is the foundation that turns NetSuite from a system you export from into a live source of trusted management reporting.
Multi-Subsidiary Consolidation
Running multiple subsidiaries, currencies or business units in NetSuite? We consolidate them into one governed model, so you get a true group view alongside each entity. Consolidated profit and loss, cash flow and balance sheet are produced automatically with consistent definitions, eliminating the manual roll-ups and spreadsheet consolidations that consume finance at month-end. It is the reporting NetSuite holds the data for but makes painful to produce, delivered cleanly and on schedule.
P&L, Cash Flow & AR/AP Ageing
We deliver the core finance reporting your leadership relies on - profit and loss, cash flow and accounts receivable and payable ageing - by subsidiary and consolidated, refreshed automatically. Drill from a headline figure into the transaction without exporting anything. Designed with finance teams, the dashboards match how your business reports, so the management pack assembles itself instead of being rebuilt from NetSuite exports every cycle.
Inventory & Revenue Analytics
For wholesale, distribution and manufacturing businesses, we build the operational analytics NetSuite makes hard to surface: inventory levels and turns, stock value and ageing, and revenue analysis by product, customer and channel. These are the views that connect finance to operations, so you can manage working capital, spot slow stock and understand where revenue and margin really come from, all from the same governed model.
Fixed-Fee Integration by Specialists
We deliver this as a fixed-fee integration, so the scope, outcome and cost are clear before we begin. Connecting ERPs and business systems to governed Power BI is what we do across 574 projects for 190 Australian clients, and NetSuite is one we know well. You get expert delivery and a month-end pack that builds itself, while your finance team stops exporting and reconciling and gets back the days it currently loses to manual reporting.
TURN SCATTERED DATA
INTO A SINGLE SOURCE OF TRUTH
190+ Australian organisations Choose Report Simple.
570+ Successful Projects
We bring deep architectural experience to every engagement, having engineered hundreds of secure, scalable data platforms and semantic models across Australian industries.
100% Australian Owned
We never farm your data assets out to offshore teams. Our team is entirely Australian-based, guaranteeing flawless communication, immediate timezone alignment, and strict data sovereignty.
Your Tenant, Your IP
We build directly inside your cloud environment so the infrastructure is entirely yours - including semantic models, custom code, and IP. You maintain absolute control and ownership without vendor lock-in.
Trusted by leading Australian organisations including Glencore, Domino's, Queensland Urban Utilities, TUH Health Fund and Surfing Australia.
TRUSTED BY
Our Proven NetSuite Power BI Process
Our senior specialists scope your NetSuite reporting, build it on a governed model, and hand your finance team a month-end pack that builds itself.
1
Scope & Requirements
We start with a short call to understand your NetSuite setup - how many subsidiaries and currencies, the reports you produce manually today, and the consolidation and operational views your team needs. There is no obligation. By the end we know exactly what to build and confirm a fixed-fee scope, so you start with certainty about the outcome and the cost.
Build the Governed Model
2
We connect NetSuite into a governed Power BI model, consolidate your subsidiaries, and build the profit and loss, cash flow, ageing, inventory and revenue dashboards. Every figure is validated against NetSuite so the numbers reconcile. We refine the reporting with your team until the management pack matches how you run the business.
Handover & Support
3
We hand over clean dashboards, a documented model and training, with refreshes scheduled so reporting stays current automatically. The fixed-fee build leaves you with a complete solution, and we are available for new reports as you grow. You finish with NetSuite reporting your finance team trusts and no more manual exports, delivered by specialists who have done it before.

LIVE DASHBOARD
Experience Governed Data
Hover, click, and interact to experience the calculation speed, logic precision, and executive clarity of a robust, expertly engineered semantic model.
NetSuite Power BI FAQs
Why not just use NetSuite saved searches and SuiteAnalytics?
Saved searches and SuiteAnalytics are fine for operational lookups, but they get slow and rigid for the consolidated management and board reporting finance teams actually need, which is why so many resort to manual exports. They do not give you a governed model, easy multi-subsidiary consolidation or a clean refresh. We build a proper Power BI model that does, so month-end assembles itself from trusted, current data instead of spreadsheets.
See the broader finance build on our Power BI financial reporting page.
Can you consolidate multiple NetSuite subsidiaries?
Yes - multi-subsidiary consolidation is core to what we build, and it is one of the biggest reasons mid-market businesses come to us. We bring your subsidiaries, currencies and business units into one governed model with consistent definitions, so you get a true consolidated profit and loss, cash flow and balance sheet alongside per-entity views, produced automatically rather than rolled up by hand each month.
How do you connect to NetSuite, and is it secure?
We connect using NetSuite's supported data-access methods and build the reporting on Microsoft's secure Power BI platform, with access controls so each person sees only what they should. The connection, security and scheduled refresh are all handled as part of the build, so your data stays protected and current. You do not need to manage any of the plumbing - that is exactly the work you are engaging us to take off your plate.
Which businesses do you build NetSuite reporting for?
We build NetSuite Power BI reporting for mid-market wholesale, distribution and manufacturing businesses, where multi-subsidiary finance and inventory analytics matter most. The consolidation, financial and operational dashboards are tailored to how you run, so the reporting answers the questions your finance and operations leaders actually ask rather than a generic ERP template. It scales as you add subsidiaries or product lines.
How much does a NetSuite Power BI build cost?
We deliver NetSuite reporting as a fixed-fee integration, so you know the full cost before we start rather than facing an open-ended project. The figure depends on how many subsidiaries you consolidate and the operational reporting involved, which we confirm in a short scoping call. Specialist Australian consultants work at $200 to $250 or more per hour for ad-hoc work, but defined builds are always fixed-price.
See how we structure pricing on our Power BI pricing page.

78% of new clients engage us for recurring data partnerships
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