Project Interface Control tabs

The Project Interface Control tab is used to identify project information that is imported to the asset record for these purposes:

  • Creating an asset
  • Adding items to an asset
  • Recording repair records or expenses that are related to an asset

This table shows the tabs that are available on the Project Interface Control page:

Tab Description
Asset Defaults Asset defaults for creating and adjusting assets
Item Detail Item defaults for creating and adjusting assets. If Project Capitalization Upgrade has run, Purchase date is not mandatory.
Note: If Purchase Date is not specified, the Transaction Date is used as Purchase Date.
Adjustment Detail Append and add to basis fields must be true if journals are created as part of the interface
Repair Detail Asset repair information
Asset Interface Records Contains asset interface records created by the Project Asset Interface process for the selected Project Interface Control
Draft Interface Records Contains the interface records created during the Draft Project Interface process
Note: This tab is only available when records exist in the Draft Asset Interface List.
Uncapitalized Transactions Work In Process–related asset interface records created during draft project asset interface processing
WIP Transactions All Work In Progress Transactions that are created when the Project Asset Interface action is run.

The transactions represent the asset interface records generated during the draft interface process for the selected Project Interface Control.

Deleted asset interface records are also shown in this tab.

Note: This tab is only available when a Clearing Account is defined.