Generating journal entries for an asset valuation run

  1. Select Asset Management > Asset Valuation > Asset Valuations > Lookup Asset Valuation Runs.
  2. Look up the asset valuation runs for which you are generating journal entries.
  3. Select one or more valuation runs in the lookup results grid.
  4. Click Action and select Generate Journal Entries.
  5. Under Processing Options, select Generate Now or Generate Later.
  6. If you selected Generate Later, specify the scheduled date and time in the Scheduled Date field.
  7. Click Save.