Impairments

The Impairments view object contains information about impairment transactions applied to assets or cash generating units when their recoverable value is less than the carrying value stored in the book at a particular time.

Data Store Key : FscmTopModelAM.FinExtractAM.FaBiccExtractAM.FaImpairmentsExtractPVO

Primary Keys : FaImpairmentsImpairmentId

Initial Extract Date : FaImpairmentsCreationDate

Incremental Extract Date : FaImpairmentsLastUpdateDate

Attributes

This table provides the list of exposed attributes and their descriptions.

Name Description
FaImpairmentsAssetId The identifier of the asset number.
FaImpairmentsBookTypeCode The name of the asset book.
FaImpairmentsCashGeneratingUnitId Smallest identifiable group of assets that generates cash inflows that are largely independent of the cash inflows from other assets or groups of assets.
FaImpairmentsCreatedBy The user who created the Impairment transaction.
FaImpairmentsCreationDate The date the user created the impairment transaction.
FaImpairmentsDateIneffective The date from when the impairment transaction is in effect.
FaImpairmentsDescription Description of the asset impairment transaction.
FaImpairmentsGoodwillAmount Asset goodwill amount used for impairment transactions.
FaImpairmentsGoodwillAssetId The identifier of the goodwill asset.
FaImpairmentsImpairClass The type of impairment transaction.
FaImpairmentsImpairmentAmount Impairment loss expense balance for the period.
FaImpairmentsImpairmentDate The date of the impairment transaction.
FaImpairmentsImpairmentId The identifier of the impairment transaction.
FaImpairmentsImpairmentName Name of the impairment batch transaction.
FaImpairmentsLastUpdateDate The date when the impairment transaction was last updated.
FaImpairmentsLastUpdateLogin The session login associated with the user who last updated the impairment transaction.
FaImpairmentsLastUpdatedBy The user who last updated the impairment transaction.
FaImpairmentsNetBookValue The net book value of the asset before the impairment transaction.
FaImpairmentsNetSellingPrice The difference between the price for selling the asset and the cost of removal.
FaImpairmentsObjectVersionNumber The number of times the impairment transaction was updated.
FaImpairmentsPeriodCounterImpaired The period from which the impairment is created.
FaImpairmentsReason Reason for performing the impairment transaction.
FaImpairmentsRequestId The request ID of the last created impairment transaction.
FaImpairmentsReversalFlag Indicates whether the transaction is an impairment reversal.
FaImpairmentsSplit1ImpairClass Impairment classification type for first impairment split reason. Reasons can be consumption of economic benefit, change in property classes, or other reasons.
FaImpairmentsSplit1Percent Split percentage due to the first split reason.
FaImpairmentsSplit1Reason Reason for performing the first impairment split.
FaImpairmentsSplit2ImpairClass Impairment classification type for the second impairment split reason. Reasons can be consumption of economic benefit, change in property classes, or other reasons.
FaImpairmentsSplit2Percent Split percentage due to the second split reason.
FaImpairmentsSplit2Reason Reason for performing the second impairment split.
FaImpairmentsSplit3ImpairClass Impairment classification type for the third impairment split reason. Reasons can be consumption of economic benefit, change in property classes, or other reasons.
FaImpairmentsSplit3Percent Split percentage due to the third split reason.
FaImpairmentsSplit3Reason Reason for performing the third impairment split.
FaImpairmentsSplitImpairFlag Indicates whether the impairment is split. A value of Y means that the impairment is split. Any other value means that the impairment is not split.
FaImpairmentsStatus Status of the impairment transaction.
FaImpairmentsUserDate The date the user provided for impairment transactions.
FaImpairmentsValueInUse Asset value in use for impairment evaluation.