Show Asset Adjustments Tab

This section includes the fields and descriptions for the Show Asset Adjustment tab.

Journal Island

Field Description
Asset Adjustment No. This field shows the number given to the asset adjustment. The number is taken from the Asset Adjustment system numbers.

User Island

Field Description
Created by This field shows the user name of the person who created the asset adjustment.
Date This field shows the date on which the asset adjustment was created.
Approved by This field shows the user name of the person who approved the asset adjustment.
Date This field shows the date on which the asset adjustment was approved.

Transaction Numbering Island

Field Description
Transaction Type 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.
Number Series 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.

Company Island

Field Description
Company This field shows the name and number of the company to which the asset is attached.