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 |
| Draft Interface Records | Contains the interface records created during the 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 action is run.
The transactions represent the asset interface records generated during the draft interface process for the selected . Deleted asset interface records are also shown in this tab.
Note: This tab is only available when a Clearing Account is defined.
|