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Asset Transfers Report

Use this report to review asset transfers for the Book and Period you choose. For each transaction Oracle Assets lists the expense account, balancing segment, cost center, and location of the asset before and after the transfer. Oracle Assets sorts the report by asset number.

This report provides supporting detail for the Reserve Detail Report.

Selected Headings

From/To: These lines describe where you transferred the asset from and to.

Date of Transfer: The date the transfer actually occurred, not the date you entered the transaction into Oracle Assets.

Assigned Cost: The fraction of asset cost allocated to this cost center.

Depreciation Reserve: The total depreciation charged to the cost center as of the transfer date.

Units: The number of units transferred.

See Also

Asset Transfer Reconciliation Report


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