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Assets Workbench

Use the Assets Workbench windows to add new assets to the system, and to perform transactions, such as retirements, adjustments, source line adjustments, and transfers.

Asset Setup Processes (Additions)

Asset Descriptive Details

Depreciation Rules (Books)

Assignments

Source Lines

CIP Assets

CIP Transactions

About Retirements

Journal Entries for Additions

Journal Entries for Adjustments

Journal Entries for Transfers and Reclassifications

Journal Entries for Retirements and Reinstatements

Tasks

Viewing Assets

Adding an Asset Accepting Defaults (QuickAdditions)

Adding an Asset Specifying Details (Detail Additions)

Entering Financial Information (Detail Additions Continued)

Assigning an Asset (Detail Additions Continued)

Correcting Current Period Addition Errors

Changing Asset Details

Reclassifying an Asset to Another Category

Adjusting Units for an Asset

Adjusting Accounting Information

Changing Financial and Depreciation Information

Transferring Assets

Changing Invoice Information

Retiring Assets

Correcting Retirement Errors (Reinstatement)

Reference

Additions Reports

Adjustments Reports

Transfers Reports

Reclassification Reports

Retirement Reports


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