Information Tab

This section includes fields and descriptions for the Information tab of the Asset Entries workspace.

Information Island

Field Description
Asset No. This field shows the number of the asset to which the adjustment pertains
Asset Group This field shows the group to which the asset belongs.
Asset Sub-Group This field shows the sub-group to which the asset belongs.
New Asset Number This is the new asset number, if the asset adjustment is for transfer to another asset group.
New Asset Group This column shows the new asset group, if the asset adjustment is for a sale or transfer to another asset.

Entries Island

Field Description
Entry Date This field shows the date on which the entry was entered.
Entry Description This field shows the text for the entry.
Transaction Copy to come.
Journal Copy to come.

Amounts Island

Field Description
Adjustment Currency This field shows the amount of the adjustment in question in the base currency of the company to which the asset in question is assigned.
Asset Base This field shows the amount of the adjustment in the currency of the company to which the asset entry in question is/was assigned.
Enterprise Copy to come.

Asset Adjustment Island

Field Description
Asset Adjustment No. This field shows the asset adjustment number.
Asset Adjustment Line This field shows the asset adjustment line number.
Asset Transaction Type This field shows the asset transaction type.
Asset Transaction Sub-Type This field shows the asset transaction sub-type.
Pct. Sold This field shows the sales percentage, if applicable.
Approved This field is marked if the transaction is approved.