Splitting mass asset distribution
Use this procedure to split all distribution lines that meet the specified criteria. You can release all of the resulting split assets as a group.
This process functions similar to Mass Asset Additions, except that it applies only to the records that are split.
- Select Asset Interface Split.
 - In the Selection Options section, specify this information: 
           
- Release
 - Select Yes to release the processes.
 - Combine Split
 - Select Derive, Copy, or No to combine the splitting.
 - Template
 - Select the addition template. It must match the template that is specified in Payables or Project Ledger.
 - Date Type
 - Select In Service or Purchase and the date range for that type.
 - Purchase Order
 - Select a purchase order.
 - Vendor
 - Select a vendor.
 - Invoice
 - Select an invoice.
 - Asset Project
 - Select an asset project.
 - Combine
 - Select a combine code to combine invoices or activities.
 - Source
 - Select whether the source comes from Activity, Invoice, or All.
 
 - In the Additional Options section, specify this information:
           
- Tag
 - Select the tag number.
 - Asset Group
 - Select an asset group.
 - Location
 - Select the physical location of the asset. Locations are used to report asset data.
 - Division
 - Select the division that is used for reporting an asset.
 - Transaction Dimensions
 - Select the transaction dimension.
 - Hold Code
 - Select Yes if the report is for held records only or No if hold code is not required.
 
 - In the Sequence section, specify the way in which output totals are printed:
           
- Location
 - Select Yes to print the output totals by location.
 - Division
 - Select Yes to print the output totals by division.
 - Type, Sub
 - Select Yes to print the output totals by type and subtype.
 
 - In the Report Distribution section, select a distribution list and export type for Mass Asset Distribution Split Report.
 - Click Submit.