Setting Permissions to Use Japan Financial Statements

After installing the Japan Financial SuiteApp, the administrator must set up the required permissions to use the financial statements.

To set permissions to use the Japan financial statements:

  1. Go to Setup > Users/Roles > User Management > Manage Roles.

  2. Click the Customize or Edit link of the role that you want to grant permission to use the Japan financial statements.

  3. On the Role page, click the Permissions subtab and do the following:

    1. Click the Reports subtab. In the Permission column, do the following:

      • Set Financial Statements to View permission level. If Financial Statements is not in the Permission column , select it from the dropdown list and add it.

      • Set General Ledger to View permission level (this is needed to generate the trial balance).

    2. Click the Lists subtab. In the Permission column, do the following:

      • Set Accounts to View permission level.

      • Set Custom Record Entries to Full permission level.

      • Set Document and Files to View permission level.

      • Set Subsidiaries to View permission level.

        If any of these items are not in the Permission column, add them in the column.

    3. Click the Setup subtab. In the Permission column, do the following:

      • Add Custom Lists and set it to View permission level.

      • Add Manage Accounting Periods and set it to View permission level.

      • Add Set Up Company and set it to View permission level.

  4. Click Save.

    For more information about granting access permissions to user roles, see NetSuite Permissions Overview and Access Levels for Permissions.

General Notices