This section includes the fields and descriptions for the Show Asset Adjustment tab.
Journal Island
Field | Description |
Asset Adjustment No.
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This field shows the number given to the asset adjustment. The number is taken from the Asset Adjustment system numbers.
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User Island
Field | Description |
Created by
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This field shows the user name of the person who created the asset adjustment.
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Date
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This field shows the date on which the asset adjustment was created.
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Approved by
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This field shows the user name of the person who approved the asset adjustment.
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Date
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This field shows the date on which the asset adjustment was approved.
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Transaction Numbering Island
Field | Description |
Transaction Type
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This field shows a default transaction type to be used when creating the lines. The default transaction type that is set up for the asset adjustment in the given company will be shown initially.
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Number Series
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This field shows a transaction number series created in the popup field “Transaction No. Series” in the window Popup Fields in the Set-Up module. If you select a number series, Maconomy will automatically number your journal lines.
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Company Island
Field | Description |
Company
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This field shows the name and number of the company to which the asset is attached.
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