| Asset Business
Unit |
Enter the asset business unit. The default value
is the asset business unit that is defined for the operator ID, and
it can be overridden. The default value is blank if the operator ID
does not have an asset management business unit assigned as a default.
This field is required to create assets from PeopleSoft Project Costing.
|
| Asset ID or Asset Identification |
Enter an existing asset ID, enter a new asset value,
or retain the default value of NEXT. If you retain the default value of NEXT, the system assigns an asset ID to the row when you save the page.
This field is required to create assets from PeopleSoft Project Costing.
|
| Asset Integration
Filter |
Identifies the rows from the Project Transaction
table that are eligible for participating in the retirement and capitalization
process.
|
| Asset Processing
Destination |
Select the functions that the system performs when
the asset integration process runs. The asset processing destination
determines the tables that the system updates with asset information
during the asset integration process.
Based on the asset integration rules, the options
may be:
Asset Integration Rule
Default: Select for the processing options in the express
capitalization rules to take precedence for each asset. You can, however,
override and apply one run option for all assets by selecting any
of the other values that are in this list.
Summarize: Select this asset processing destination to summarize asset transaction
rows in the PC to AM Staging table. You can view the summarized rows
in the Approve Review Assets component (PC_AM_APPROVE). This is the
only available option if you require asset transaction approval before
sending them to PeopleSoft Asset Management. In this case the assets
must be approved in the Approve Review Assets component before they
can proceed. If asset approval is not required, assets with statuses
of new and approved are eligible to be sent to PeopleSoft Asset Management.
Summarize and Run Interface: Select this asset processing destination to summarize asset transaction
rows in the PC to AM Staging table and send them to the PeopleSoft
Asset Management Loader tables.
Sum, Run and Load Transactions: Select this asset processing destination to summarize asset transaction
rows in the PC to AM Staging table, send them to the PeopleSoft Asset
Management Loader tables, and call the Load Transactions into Asset
Management Application Engine process (AMIF1000) that loads the assets
from the PeopleSoft Asset Management Loader tables into PeopleSoft
Asset Management production tables, such as ASSET, BOOK, COST, and
so on. This is the fastest method to move asset data from PeopleSoft
Project Costing into Asset Management production tables.
Run Interface: Select this asset processing destination to use the Send to Asset
Management Application Engine process (PC_AM) to move data previously
sent to the PC to AM Staging table via the Summarize process, into
the PeopleSoft Asset Management Loader tables with summarized transaction
data.
Run Interface and Load: Select this asset processing destination to use the Send to Asset
Management process to move data previously sent to the PC to AM Staging
table via the Summarize process, into the PeopleSoft Asset Management
Loader tables, and call the Load Transactions into Asset Management
process to load the assets from PeopleSoft Asset Management Loader
tables into Asset Management.
|
| Capitalize |
Select to create assets from the selected activity
when the Express Capitalization process runs. Asset capitalization
is the process to record a change in the value of an asset—either
a new asset or modification of an existing asset. PeopleSoft Project
Costing collects costs from feeder systems and online PC entry to
use for asset capitalization.
|
| Category |
Enter a category, which is an PeopleSoft Asset Management
ChartField. You can override the default value that is based on the
asset profile.
|
| Department |
Enter the department that owns the asset. If the Department ID From Transaction option is
selected on the Integration Options - Project Costing Integration
page, transactions with different departments can come in from feeder
systems, which enables cost breakdown by department for assets that
are created from those transactions.
If the installation Department
ID From Transaction option is not selected, only one department
is included per asset. In this case, the department is derived from
the Department field (DEPTID) on the Define Assets page instead of
the cost transactions.
Note: To ensure data integrity in PeopleSoft Asset Management,
after you specify the Department ID From
Transaction option during installation, do not change
it.
|
| Group |
Enter an existing group ID from PeopleSoft Asset
Management to which to include this asset as a member. You can select
a group only if the profile is a group profile.
|
| In Service
Date |
Enter the date on which the asset is placed in service.
|
| Location |
Enter the asset location.
The system ignores the value in this field if the Activity option is selected in the Asset Location Source group box on the
Asset Integration Rule page for the activity that is related to this
asset.
|
| Manufacturer |
Enter the manufacturer that is assigned to the asset.
Available values are from the Manufacturer Maintenance table (MANUFACTURER).
|
| Parent |
Enter the parent asset or select the asset from
the list of available parent assets. If the asset is designated as
a parent asset on the asset definition, the system automatically populates
this field with the current asset ID when you save the page.
|
| Profile ID |
Select a value for this field. A profile ID is required
to create an asset in PeopleSoft Project Costing.
Asset profiles are set up in PeopleSoft Asset Management.
If Asset Management is not installed, you must set up asset profiles
in PeopleSoft Project Costing before you can summarize transactions
either by profile or by asset.
|
| Quantity |
Enter the asset quantity in PeopleSoft Asset Management.
For example, an asset could be modems with a quantity of 200.
During the integration process that sends the asset
to PeopleSoft Asset Management, the system divides the quantity proportionally
among transaction rows based on the monetary amounts in each row after
they are converted to the base currency of the project business unit.
If you modify the asset quantity on an asset definition
page, the change is incremental for the asset. For example, if you
change an asset quantity from 1 to 4, the total asset quantity is
5.
|
| Serial ID
(serial identifier) |
Enter the asset serial number ID.
|
| Tag Number |
Enter a tag number that you assign to the asset
for tracking purposes.
|
| Work Order |
A document that authorizes work to be performed
and costs to be incurred. Typically, you generate work orders to
dispatch labor resources to perform construction tasks and maintenance-related
activities.
|