{"id":2541,"date":"2017-08-21T14:53:55","date_gmt":"2017-08-21T14:53:55","guid":{"rendered":"https:\/\/answers.gurussolutions.com\/answers\/comment-regrouper-les-comptes-du-bilan-par-classe-dans-les-rapports-netsuite\/"},"modified":"2026-07-28T18:25:00","modified_gmt":"2026-07-28T18:25:00","slug":"comment-regrouper-les-comptes-du-bilan-par-classe-dans-les-rapports-netsuite","status":"publish","type":"qa_entry","link":"https:\/\/answers.gurussolutions.com\/fr\/answers\/comment-regrouper-les-comptes-du-bilan-par-classe-dans-les-rapports-netsuite\/","title":{"rendered":"Comment regrouper les comptes du bilan par classe dans les rapports NetSuite"},"content":{"rendered":"","protected":false},"template":"","meta":{"_kad_blocks_custom_css":"","_kad_blocks_head_custom_js":"","_kad_blocks_body_custom_js":"","_kad_blocks_footer_custom_js":"","_kadence_starter_templates_imported_post":false,"_kad_post_transparent":"","_kad_post_title":"","_kad_post_layout":"","_kad_post_sidebar_id":"","_kad_post_content_style":"","_kad_post_vertical_padding":"","_kad_post_feature":"","_kad_post_feature_position":"","_kad_post_header":false,"_kad_post_footer":false,"_kad_post_classname":"","ga_subtitle":"D\u00e9couvrez comment modifier les rapports de bilan de NetSuite afin d\u2019afficher les soldes des comptes regroup\u00e9s par cat\u00e9gories sp\u00e9cifiques, pour une analyse financi\u00e8re plus approfondie.","ga_short_answer":"Pour regrouper les comptes du bilan par classe dans NetSuite, personnalisez la mise en page du rapport. Dans le G\u00e9n\u00e9rateur de rapports financiers, configurez les comptes pour chaque section. D\u00e9finissez l\u2019option principale \u00ab Regrouper par \u00bb sur \u00ab Compte \u00bb, puis appliquez un regroupement secondaire par \u00ab Classe \u00bb afin d\u2019organiser les donn\u00e9es financi\u00e8res par segments d\u2019activit\u00e9 sp\u00e9cifiques.","ga_scenario":"Les utilisateurs ont souvent besoin de rapports financiers plus d\u00e9taill\u00e9s que ne le permettent les mod\u00e8les standard de bilan de NetSuite. Plus pr\u00e9cis\u00e9ment, il est n\u00e9cessaire de consulter les soldes des comptes non seulement par type de compte, mais \u00e9galement segment\u00e9s selon diff\u00e9rentes cat\u00e9gories d\u2019activit\u00e9. Cette personnalisation permet une analyse plus d\u00e9taill\u00e9e de l\u2019actif, du passif et des capitaux propres selon diverses dimensions op\u00e9rationnelles.","ga_solution":"Pour effectuer cette personnalisation, veuillez suivre les \u00e9tapes suivantes :\n1. Pour commencer, <a class=\"ga-interlink\" href=\"https:\/\/answers.gurussolutions.com\/fr\/answers\/how-to-customize-netsuite-balance-sheet-reports-with-multiple-period-columns\/\">personnalisez le rapport de bilan souhait\u00e9<\/a>.\n2. <a class=\"ga-interlink\" href=\"https:\/\/answers.gurussolutions.com\/fr\/answers\/how-to-access-the-correct-report-builder-for-netsuite-financial-reports\/\">Acc\u00e9dez au G\u00e9n\u00e9rateur de rapports financiers<\/a> et passez \u00e0 la vue \u00ab Modifier la mise en page \u00bb.\n3. Dans l\u2019\u00e9diteur de mise en page, configurez les comptes sp\u00e9cifiques \u00e0 inclure dans chaque section du rapport.\n4. D\u00e9finissez l\u2019option de regroupement principal sur \u00ab Compte \u00bb.\n5. Appliquez ensuite un regroupement secondaire par \u00ab Classe \u00bb afin d\u2019organiser davantage les donn\u00e9es.","ga_source_author":"","ga_source_author_email":"","ga_date_original":"2017-08-21T16:53:55+02:00","ga_date_verified":"2026-07-05","ga_source_subject":"Balance Sheet Reporting","ga_ans_id":"ANS-0802","ga_publish_decision":"publish_with_edits","ga_staleness_risk":"high","ga_review_priority":"spot_check","ga_tier2_verdict":"partially_outdated","ga_tier2_concerns":"\"choose each section accounts\" (phrasing not found as a direct UI element, though the functionality of defining sections based on accounts is accurate); \"Then By field\" (specific terminology for a field not explicitly found, though the ability to group by Class is accurate)","ga_final_category":"Financial Reporting","footnotes":""},"ga_category":[33,110,110],"ga_audience":[9],"ga_difficulty":[92],"class_list":["post-2541","qa_entry","type-qa_entry","status-publish","hentry","ga_category-financial-reporting","ga_category-rapports-financiers","ga_audience-finance-accounting-team","ga_difficulty-niveau-intermediaire"],"taxonomy_info":{"ga_category":[{"value":33,"label":"Financial Reporting"},{"value":110,"label":"Rapports financiers"},{"value":110,"label":"Rapports financiers"}],"ga_audience":[{"value":9,"label":"Finance\/accounting team"}],"ga_difficulty":[{"value":92,"label":"Niveau interm\u00e9diaire"}]},"featured_image_src_large":[],"author_info":[],"comment_info":"","_links":{"self":[{"href":"https:\/\/answers.gurussolutions.com\/fr\/wp-json\/wp\/v2\/qa_entry\/2541","targetHints":{"allow":["GET"]}}],"collection":[{"href":"https:\/\/answers.gurussolutions.com\/fr\/wp-json\/wp\/v2\/qa_entry"}],"about":[{"href":"https:\/\/answers.gurussolutions.com\/fr\/wp-json\/wp\/v2\/types\/qa_entry"}],"version-history":[{"count":1,"href":"https:\/\/answers.gurussolutions.com\/fr\/wp-json\/wp\/v2\/qa_entry\/2541\/revisions"}],"predecessor-version":[{"id":4461,"href":"https:\/\/answers.gurussolutions.com\/fr\/wp-json\/wp\/v2\/qa_entry\/2541\/revisions\/4461"}],"wp:attachment":[{"href":"https:\/\/answers.gurussolutions.com\/fr\/wp-json\/wp\/v2\/media?parent=2541"}],"wp:term":[{"taxonomy":"ga_category","embeddable":true,"href":"https:\/\/answers.gurussolutions.com\/fr\/wp-json\/wp\/v2\/ga_category?post=2541"},{"taxonomy":"ga_audience","embeddable":true,"href":"https:\/\/answers.gurussolutions.com\/fr\/wp-json\/wp\/v2\/ga_audience?post=2541"},{"taxonomy":"ga_difficulty","embeddable":true,"href":"https:\/\/answers.gurussolutions.com\/fr\/wp-json\/wp\/v2\/ga_difficulty?post=2541"}],"curies":[{"name":"wp","href":"https:\/\/api.w.org\/{rel}","templated":true}]}}