Bar-coding considerations
The bar-coding addition implementation does not allow data from Lawson Supply Chain Management or from Project Accounting to be interfaced along with the handheld terminal data. When adding an asset from a handheld terminal (HHT), only this information that is interfaced:
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The company for which the asset is added
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The template used to associate asset accounts with the asset
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The items that make up the asset
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The quantity for each item
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The purchase date of each item
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Each item's product category data, if applicable
After you import the HHT data into the Asset Management AMINTER file, you must manually add an item cost for each item in AMINTER before you can release the items from the interface file to Asset Management.