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Getting Started with PeopleSoft Asset Lifecycle Management Fundamentals
PeopleSoft Asset Lifecycle Management Application Fundamentals Overview
Other Sources of Information
Implementation Considerations
Navigating in PeopleSoft Asset Lifecycle Management
PeopleSoft Asset Lifecycle Management Custom Navigation
Understanding PeopleSoft Asset Lifecycle Management
Understanding the PeopleSoft Asset Management Lifecycle
Understanding the Asset Repository
Implementing PeopleSoft Asset Lifecycle Management
Establishing PeopleSoft Asset Management Business Units
Understanding Asset Management Business and Cash Generating Units
Creating PeopleSoft Asset Management Business Units
Creating PeopleSoft Asset Management Cash Generating Units
Creating Asset Management Business Units Using Business Unit Management
Establishing Asset Processing
Understanding Asset Processing
Prerequisites
Defining Common Tables to Manage Assets
Defining Asset Attributes
Setting Up Asset Profiles
Using the Data Migration Workbench for PeopleSoft Asset Profiles
Establishing Asset Ownership
Defining On-Demand Processing for PeopleSoft Asset Management
Setting Up Reporting Options
Setting Up Accounting Entry and Financial Processing for PeopleSoft Asset Management
Understanding Accounting Entry and Financial Processing
Defining Accounting Entries
Defining Financial Processing for PeopleSoft Asset Management
Defining Fair Value Processing
Defining Investment Property
Enabling Combination Editing
Defining Document Sequencing
Setting Up Depreciation Processing
Understanding Depreciation Processing
Setting Up Depreciation Calendars
Setting Up Depreciation Conventions
Setting Up Depreciation Schedules
Defining Depreciation Terms and Rates
Defining Depreciation Bonus Information
Defining Depreciation Limits
(DEU) Setting Up Multi-shift Codes
Enabling Options to Stop Negative Depreciation
Setting Up Tax Processing and Tax Reporting
Understanding Tax Processing and Reporting
(AUS) Defining VAT Thresholds
(AUS) Defining Asset Unit Aggregate RD
Defining Tax Credits
(FRA) Defining Business Tax by Location
(CAN, IND, and USA) Defining and Maintaining Tax Classes
(IND) Setting Up Tax Asset Blocks
(IND) Defining Tax Entities and Tax Options
(JPN) Defining Owner Information and Return Information
Setting Up Retirement Basis Reduction Codes
(USA) Defining Qualified Investment Codes
Defining Property Tax Authorities
Integrating PeopleSoft Asset Management with Other Products
Understanding How PeopleSoft Asset Management Integrates with Other Applications
Integrating with PeopleSoft Billing
Integrating with Budgeting
Integrating with General Ledger
Integrating Asset Management with IT Asset Management
Integrating Asset Management with Maintenance Management
Integrating Asset Management with Lease Administration
Integrating with Oracle Internet of Things Asset Monitoring Cloud Service
Processing PeopleSoft Asset Management, Purchasing, and Payables Transactions
Processing Purchasing and Payables Transactions with Asset Management
Integrating with PeopleSoft Project Costing
Integrating with Strategic Sourcing
Previewing Data in the Loader Tables
Approving Load Lines
Running the Transaction Loader
Consolidating and Unitizing Assets
Exporting Property Tax Data to Third-Party Tax Systems
Importing Asset Data by Using the Excel to Component Interface Utility
Configuring PeopleSoft Asset Lifecycle Management Background Processes
Configuring Temporary Tables for Background Processing
Setting Up and Using Approval Framework in Asset Management
Understanding Approval Framework in Asset Management
Completing the Approval Transaction Registry and Configuration
Creating or Modifying Notification Template Definitions
Defining User Lists for Approval Framework
Setting Up Approval Process Definitions
Example of Approval Framework Setup for Asset Disposal