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HansaManuals

Introduction to Settings in the System Module
Access Groups
Active Users
Auto Actions
Backup Settings
Bank Holidays
Base Currency
Base Currency Rates
Cloud Security
Company Date and Numeric Format
Company Info
Configuration
Conversions - Master, Conversions - Accounts and VAT Codes
Conversions - Master, Conversions - Activity Types
Conversions - Master, Conversions - Contact Classifications
Conversions - Master, Conversions - Contacts
Conversions - Master, Conversions - Currency Codes
Conversions - Master, Conversions - Items
Conversions - Master, Conversions - Locations
Conversions - Master
Conversions - Master, Conversions - Suppliers
Conversions - Master, Conversions - Tags/Objects
Conversions - Master, Conversions - Users
Countries
Countries Regions
Currency Round Off
Days and Months
Departments
Discount Options
Display Groups
Exchange Rates Settings
Form Settings
Global Locking
Global Warnings on UnOKed Records
Internet Enablers
Journaling
KPIs
Languages
Locking
Locking Exceptions
Nature of Business
Number Series Defaults
Opened Record History
Optional Features
Password Security
Printers
Remote Backups
Reporting Periods
Round Off
Sales Groups
Single Functions
Special Days
Styles
Sub-ledger Control Accounts
Task Manager Access
User Warnings on UnOKed Records
Values in Text
   - Header and Card 1
   - Card 2
   - Including Amounts in Words in Forms
   - Fields that use the Values in Text setting
VAT Reg. Number Masks
Weeks

Tutorials for Standard Accounts

Access Groups - Block Accounts

This page describes the Block Accounts field in the Access Group record. Please refer to the following pages for more details about other aspects of Access Groups:
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You can use the Block A/Cs field in an Access Group to prevent details of particular Accounts being shown in the Account Reconciliation and Nominal Ledger reports when they are produced by members of the Access Group. It will also prevent details of those Accounts being shown in the Account Reconciliation window. For example, you can use this field to prevent members of the Access Group seeing the details of salary payments when carrying out bank reconciliation.

You can enter a range of Accounts, a number of individual Accounts separated by commas, or a number of ranges of Accounts, again separated by commas. If you need to use 'Paste Special" to enter several Accounts, type the comma or colon before opening the 'Paste Special' list. This will cause Standard ERP to add the next Account to those already entered. Otherwise, the previous Account will be overwritten.

In the example above, when members of the Access Group "ACC" produce an Account Reconciliation or Nominal Ledger report, Accounts 300 and 890 and all Accounts between 950 and 999 will be omitted. These Accounts will appear in other reports such as the Analytical Balance, Profit & Loss report and Balance Sheet, but drilling down on these Accounts from these reports will produce empty Nominal Ledger reports. Transactions posting to these Accounts will not be listed in the Account Reconciliation window or in the Account Reconciliation report.

Please refer to the following pages for more information about Access Groups:

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