All flows above run on their configured schedules. To run or test one specific payout, use Step 1: Create Payout Summary Record On Demand (Flows → Journal Entry).
- Click the Settings icon on the flow.
- Enter the Payout ID (for example, po_1RzSegGuTaMUDQinfVDrvz3R).
- Click Run.
The flow retrieves the payout and creates its Payout Summary record in NetSuite. From there, the remaining scheduled flows process it as usual.