Mass asset interface release
-
Select .
- Specify this information:
- Source
- Select the source for the mass addition. Project indicates
assets that have been interfaced from projects.
Invoice indicates assets that have been
interfaced from Payables.
- Update
- Select whether the asset interface will be
released.
- Compute
- Select Yes if the asset release
calculates year to date and life to date depreciation for the assets
being added. The assets must have in-service dates prior to the
current period.
- Posting Entries
- Select whether you want to create journal
entries for the additions.
- Company or Company Group
- Specify the company or company group.
- Posting Date
- Specify the posting date for the journal
entries.
- In-service Date
- Specify an override in-service date.
- Vendor
- Select the vendor for Payables
assets.
- Invoice
- Select the invoice for Payables
assets.
- Asset Project
- Select the posting project for project
assets.
- Combine
- Specify the combine code to create assets.
- Template
- Select the asset template to use to create assets. The
template must match the template specified in Payables or the project system that created the
interface records.
- Tag
- Select a tag for the asset.
- Asset Group
- Select an asset group for the asset.
- Location
- Select a location where the asset is physically
located.
- Division
- Select a division for the asset.
- Transaction Dimensions
- Select the transaction for the asset.
- On Hold
- Select whether the program is for held records
only.
- Location
- Select whether the output totals are printed by
location.
- Division
- Select whether the output totals are printed by
division.
- Type, Sub
- Select whether the output totals are printed by
type.
- Mass Asset Additions Report
- Select a distribution group for the asset additions
report.
- Report Export Type
- Select the report export type.
-
Click Submit.