You can control accounting defined by users, user groups, lots, sublots and journals, only of Detailed ledger accounts for manual entries: Accounting Entries, Automatic Acctg Entries, Parameterized Acctg Entries. Shielding control is also accomplished by integration entries, such as Financials, Invoicing, Inventory, etc.
Important: - Users are configured in the Users routine in Access Restriction in the Privileges option, folder Access. You must enable access 191 - Allow posting of accounting entries.
- To do so you must configure the MV_CTRCTB parameter, which enables the validation, with content 1.
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The register is divided in three folders:
- Lots/Sub-lots
- Journals
- Configuration of Entries
Procedures
- In Lots/Sublots, fill out the data according to help instructions.
- In the Journals folder, enter the journal.
- Select the Entry Configuration folder.
- Fill out the Manual Entry? field with Yes, if you can post entries directly to Managerial Accounting routines.
- Fill out the Notify Entry? field with Yes, if you can post manual entries with any combination of accounting entities.
- Check data and confirm procedure.
See Also