Permissions set up for GL Matching

GL Matching dashboard and GL Matching List of accounts are only available/visible to Administrators, so we have to give access to other non-administrative roles.

To set access to GL Matching Pages for a role:

  1. Go to Customization > Scripting > Scripts
  2. On the filters tab, Select type as Suitelet
  3. Click view next to GL Matching Dashboard.
  4. On the deployment subtab, Click GL Matching Dashboard
  5. Click Edit, On the Audience subtab, Select the role which is needed to give access/Permission for GL Matching Dashboard.
  6. Click save
  7. Go to customization > Scripting > Scripts
  8. Click view next to GL Matching- List of accounts.
  9. On the deployment subtab, Click GL Matching -List of accounts.
  10. Click Edit, On the Audience subtab, Select the role which is needed to give access/Permission.
  11. Click save.

Standard and custom Permissions for GL matching:

The below mentioned are minimum level of requirement for access the GL Matching.

Sub tabPermissionLevel
TransactionsFind TransactionView
ReportsSuite Analytics WorkbookEdit
ListsAccountsView
ListsCurrencyView
ListsDocuments and filesView
ListsPerform SearchView
ListsSubsidiariesView
Set upAccounting BookView
Set upCustom record typeView
Set upManage Accounting periodView
Set upSuitescriptView
Set upSuitescript schedulingFull
Custom RecordGL Matching Dashboard permissionFull or create
Custom RecordGL Matching -List of AccountingFull or create

GL Matching custom permissions—GLM – Dashboard matching permission, GLM – Dashboard reference permission, choose the permission level depending on the preferred capabilities for the role as described below:

  1. GL Matching Dashboard Permission –
    a) Full – User can match or unmatch transaction lines in both open and closed accounting periods.
    b)Create – User can match or unmatch transaction lines in open accounting periods.
  2. GL Matching dashboard reference Permission –
    a)Full – User can add, edit, or delete the Matching Reference of transaction lines in both open and closed accounting periods.
    b)Create – User can add, edit, or delete the Matching Reference of transaction lines in open accounting periods.

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