Asset Management

Add Option To Switch Between List View and Card View to Adjustments, Transfers and Disposals

The Asset Disposal, Adjustment and Transfer lists on the asset listings menu have been updated to include two tabs. Each tab will render the records using alternate presentations. The first tab will include the existing report which is a uses a cardview presentation. The second tab will renter the records in a list format.

Program/Business class/Process affected:

Asset Disposal, Adjustment and Transfer lists

To test the enhancement:

Review the content of these lists available on the Asset Listings menu.

JT-1614528

Add a new Posting Date field to the Disposal/Transfer/Adjustment process

Adding New Posting Date field to Disposal, Transfer, Adjustment, Reinstatement, Revaluation and Impairment processes

Program/Business class/Process affected:

  • 11.0_post_CU80.faf
  • AnnualDepreciation.field
  • Asset.busclass (BL & UI)
  • AssetAdjustment.busclass
  • AssetBook.busclass
  • AssetBookAdjustment.busclass
  • AssetBookDisposal.busclass
  • AssetBookRevaluation.busclass (BL & UI)
  • AssetBookTransaction.busclass
  • AssetBookTransfer.busclass
  • AssetDisposal.busclass (BL & UI)
  • AssetImpairment.busclass (BL & UI)
  • AssetImpairmentBook.busclass
  • AssetItemTransfer.busclass
  • AssetReinstatement.busclass (BL & UI)
  • AssetTransaction.busclass
  • AssetTransfer.busclass (BL & UI)

To test the enhancement:

When performing Adding/Disposal/Transfer/Adjustment/Reinstatement/Revaluation/Impairment processes now we can add/update the Posting Date value which will add/update the transaction's posting date value. The edit for closing control are still the same but an additional option of posting the records based on the date provided is added.

JT-1602279

Asset Description is clear (blank) allowing Description from the Asset Template to be default value

The Asset Defaults, when added to a PO allow the asset description to be populated. If the asset defaults are populated the asset description will be updated to the resulting Asset Interface 'Asset Description' field. If the asset description is not populated on this record, it will be left blank on the asset interface and the Asset Template asset description will be assigned to the resulting asset as the asset description.

Program/Business class/Process affected:

PO Asset Detail maintenance

To test the enhancement:

Create a purchase order with an asset template. On the PO line create asset detail and do these steps:

  1. Assign the asset description and ensure the asset description on the resulting asset interface is populated with this value.
  2. Leave the asset description blank and ensure the resulting asset interface record asset description is left blank.

JT-1604610