Creating draft project asset interface records
- Select Conversion And Interfaces > Project Interface Control.
- Open the project interface control record and click the Uncapitalized Transactions tab.
- Select Actions > Draft Project Asset Interface.
- Specify this information:
- Select Transactions Through Date
- Select the through date for the project asset records.
- Date
- Select whether to use the posting date or the transaction date to select transactions.
- Include Repairs
- Select this check box to include repair records.
- Summary Code
- To summarize records, specify a summary code.
- Click Submit.