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I'm trying to get a handle on how section access security works. In the below scenario I'm trying to give user D access to all of profit center 1000 and only CUSTF in profit center 1010.
What I expect is user D to have access to CUST A, B, C and F in profit center 1000 plus CUSTF in profit center 1010.
What it does is only grant access to user D to CUSTF in 1000 and 1010 plus... CUSTE in 1010? I never associate user D with CUSTE in the script.
Below it the script and attached is the qvw file.
I'm looking for any help or insight as to what's going on.
Thank You,
SET ThousandSep=',';
SET DecimalSep='.';
SET MoneyThousandSep=',';
SET MoneyDecimalSep='.';
SET MoneyFormat='$#,##0.00;($#,##0.00)';
SET TimeFormat='h:mm:ss TT';
SET DateFormat='M/D/YYYY';
SET TimestampFormat='M/D/YYYY h:mm:ss[.fff] TT';
SET MonthNames='Jan;Feb;Mar;Apr;May;Jun;Jul;Aug;Sep;Oct;Nov;Dec';
SET DayNames='Mon;Tue;Wed;Thu;Fri;Sat;Sun';
Star is *;
Section Access;
LOAD * Inline [
ACCESS, USERID, PASSWORD, PROFCTR, CUST
ADMIN, ADMIN,
USER, A, , 1000
USER, B, , 1010
USER, C, , *, CUSTE
USER, C, , *, CUSTF
USER, D, , 1000, *
USER, D, , 1010, CUSTF
];
SECTION Application;
LOAD * INLINE [
PROFCTR, CUST, Sales
1000, CUSTA, 100
1000, CUSTB, 50
1000, CUSTC, 150
1010, CUSTD, 200
1010, CUSTE, 250
1000, CUSTF, 250
1010, CUSTF, 50
];
I'm closing this out, I just received some documentation that should help from QlikView.
can you share the documentation that QlikTech sent you?