This page brings together the end-to-end workflows for setting up and using Action Centres, from enabling the feature to building each type. Use it as a step-by-step companion to the type reference guides.
A. Enable Action Centre Management
- Go to User Groups and open the relevant group.
- Turn on the Action Centre Management toggle.
- Save. A new Action Centres settings page appears under Features.
B. Create an Action Centre area
- Go to Features → Action Centres.
- Click Manage Areas (top-right of the tabs).
- Click Add Area.
- Enter the Area Name, choose an Icon (searchable pool), and set the Path (URL).
- Click Save, then refresh — the new area appears in the left sidebar and in the top navigation.
C. Organise sections & existing Action Centres
- In an area, open a folder/section to see its Action Centres.
- For each Action Centre, choose Edit, Move to new section, or Archive as needed.
D. Create a new Action Centre (generic flow)
- Click Create New → Action Centre.
- Enter a Name, pick an Icon, and choose the Area and Section (select an existing section or type a new section name).
- Select the Type (Cases, Data Table, Financial — Receipts, List Builder, and so on).
- Complete any type-specific settings (see below).
- (Optional) Add or change Default Filters.
- Set Permissions (Full / View & Edit / View Only, for users or user groups).
- Click Save.
E. Type-specific setup
Cases
- Choose the Cases type.
- Configure Default Filters.
- Set Permissions and Save.
- Use the table to open and edit cases, and add posts, tasks and comments; filter and sort as needed.
Data Table (People / Organisation)
- Choose the Data Table type and select the specific data table.
- (Optional) Set Default Filters (for example date ranges, field values).
- Save, then view the unified, multi-row table (profiles may appear multiple times).
- Use standard table controls; Export if required.
Financial — Batch
- Choose Financial — Batch.
- Select a Payment Provider from your configured providers.
- Use the batch to process and export for gateway/bank upload (or process directly, based on your integration).
Financial — Invoices
- Choose Financial — Invoices.
- (Optional) Toggle MYOB exports and/or MYOB journal exports.
- (Optional) Set Default Filters (date range, status).
- Save, then export invoices at invoice level or per line item.
Financial — Payroll Deduction
- Choose Financial — Payroll Deduction.
- Use it to process deductions and track historical batches.
Financial — Receipts
- Choose Financial — Receipts.
- (Optional) Set defaults: Status, Method, Line Type (for example failed, last year, credit card).
- Filter and Export receipts matching your criteria.
Financial — Receipt Summary
- Choose Financial — Receipt Summary.
- Configure the date period to collate totals per contact (for example yearly totals for weekly payers).
Form Responses
- Choose Form Responses and select the Form.
- Click Add Column and, for each column, select the Form Question and set a Column Label.
- Save — submissions populate as rows when the form is filled out.
Goals
- Choose Goals.
- Use it to monitor targets/requirements, points achieved and progress per person; filter and export.
Goal Activities
- Choose Goal Activities.
- (Optional) Set default filters (for example Source, Status, Type of CPD, Date Occurred).
- Review and approve activities where needed.
Posts
- Choose Posts.
- (Optional) Set defaults for Date / Date Occurred and Assigned Tags.
List Builder (including website directory)
- Choose List Builder.
- Select a Source List (from all lists in your account) and choose Live or Fixed.
- (Optional) Enable Website Configuration to add directory settings for your website/portal (Umbraco).
- Add extra columns from all accessible fields (personal, contact, custom). For each, set a Label and optionally tick Editable.
- (If enabled) Configure the website: card view fields (Title field, Card / Thumbnail image), drawer fields, and public filters.
- Set Permissions and Save.
- Use the table; Live lists auto-add/remove contacts as criteria change, Fixed lists stay static. Export as needed.