{"id":2692,"date":"2017-08-21T15:30:22","date_gmt":"2017-08-21T15:30:22","guid":{"rendered":"https:\/\/answers.gurussolutions.com\/answers\/comment-personnaliser-un-rapport-de-balance-de-verification-netsuite-par-service\/"},"modified":"2026-07-28T18:25:08","modified_gmt":"2026-07-28T18:25:08","slug":"comment-personnaliser-un-rapport-de-balance-de-verification-netsuite-par-service","status":"publish","type":"qa_entry","link":"https:\/\/answers.gurussolutions.com\/fr\/answers\/comment-personnaliser-un-rapport-de-balance-de-verification-netsuite-par-service\/","title":{"rendered":"Comment personnaliser un rapport de balance de v\u00e9rification NetSuite par service"},"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":"Les utilisateurs de NetSuite peuvent facilement am\u00e9liorer leurs rapports financiers en ajoutant des informations sur les services directement dans le rapport standard \u00ab Balance d'essai \u00bb.","ga_short_answer":"Pour personnaliser le rapport \u00ab Balance de v\u00e9rification \u00bb de NetSuite afin d\u2019y inclure des informations sur les services, acc\u00e9dez aux options de personnalisation du rapport. D\u00e9veloppez les dossiers \u00ab Balance de v\u00e9rification \u00bb et \u00ab Service \u00bb sous \u00ab Modifier les colonnes \u00bb, puis ajoutez la colonne \u00ab Nom \u00bb. Placez cette colonne \u00e0 c\u00f4t\u00e9 de la colonne \u00ab Compte \u00bb afin d\u2019am\u00e9liorer l\u2019analyse financi\u00e8re et le suivi des services.","ga_scenario":"Les organisations ont souvent besoin d\u2019une vue plus d\u00e9taill\u00e9e de leurs donn\u00e9es financi\u00e8res pour comprendre les performances des diff\u00e9rents segments op\u00e9rationnels. Le rapport standard \u00ab \u00c9tat de la situation financi\u00e8re \u00bb de NetSuite, bien qu\u2019exhaustif, peut ne pas afficher d\u2019embl\u00e9e la ventilation par service. Les utilisateurs doivent personnaliser ce rapport afin d\u2019y int\u00e9grer des informations sp\u00e9cifiques \u00e0 chaque service, ce qui permet une meilleure analyse financi\u00e8re et une meilleure responsabilisation.","ga_solution":"Pour personnaliser le rapport \u00ab Balance de v\u00e9rification \u00bb afin d\u2019y inclure les informations relatives aux services, proc\u00e9dez comme suit :\n1. Acc\u00e9dez \u00e0 \u00ab Rapports > Financier > Balance de v\u00e9rification > Personnaliser \u00bb.\n2. Renommez le rapport, par exemple en \u00ab Balance de v\u00e9rification par service \u00bb.\n3. Dans la section \u00ab Modifier les colonnes \u00bb, d\u00e9veloppez le dossier \u00ab Balance d'essai \u00bb. Rep\u00e9rez et d\u00e9veloppez le dossier \u00ab Service \u00bb qu'il contient, puis ajoutez la colonne \u00ab Nom \u00bb.\n4. D\u00e9placez la colonne \u00ab Nom \u00bb nouvellement ajout\u00e9e vers la gauche, en la pla\u00e7ant \u00e0 c\u00f4t\u00e9 de la colonne \u00ab Compte \u00bb.\n5. 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