HubSpot companies become NetSuite customers.
A company becomes a NetSuite customer with its address and industry intact. Contacts follow and attach to the parent. Duplicate checking runs on the way in.
Integration
Connect the sales and pipeline work your team manages in HubSpot to the NetSuite workflows finance and operations run on.

What moves
Companies, contacts, deals, and the invoices that follow — moving both ways without hand-matching.
A company becomes a NetSuite customer with its address and industry intact. Contacts follow and attach to the parent. Duplicate checking runs on the way in.
A deal becomes a NetSuite opportunity with its line items, amount and close date. You control how deal stages map to your opportunity statuses.
Push records back from a button on the NetSuite record, or on a schedule driven by a saved search you write. You decide what qualifies.
Update a linked opportunity and the deal amount moves in HubSpot. Reach your won status and the deal closes. A probability threshold keeps early-stage noise out.
Each object runs in the mode you choose, with a date filter so onboarding does not drag a decade of dead pipeline across. A status page shows where every run stands.
Workflow shape
Someone re-keys the company. Someone re-keys the contacts. Someone rebuilds the opportunity from the deal, and by the time finance sees it the amount has already changed once.
HubSpot data lands on a staging record with the original payload kept, then converts to a native NetSuite record. Each side stores a link to the other, so a later update knows exactly which record it belongs to.
Sales sees the current amount and the won status in HubSpot. Operations and finance work a NetSuite record that was never typed twice.
Workflow diagram
A practical lane view of how HubSpot activity lands in NetSuite, and what goes back.

Capabilities
Moving a record is the easy part. These are the controls that decide whether the integration survives contact with your actual data.
Why Catalyst
Catalyst plans integration work around the way NetSuite has to run after the data arrives: billing, service operations, finance review, exception handling, and day-to-day visibility.
Start with the handoff
We will help define the source activity, the NetSuite destination, the exception points, and the practical operating path.
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