Assets

Assets application. Part of the FreeBalance Finanacial Accountability Suite platform. This module shares features with Inventories, through the Assets and Inventories Commons module.

At a basic level, a fixed asset is a long term good kept and used by the government, typically over 12 months. Inventory is also an asset but is typically kept for less than 12 months, it is intended for distribution (to citizens) or as part of a "work in progress" to make a good for resale or distribution.

An example of an inventory item is pamphlets, or paper that is purchased to make pamphlets. The pamphlets are intended for distribution to schools. Hence, this is an inventory item. A building, vehicle, or computer is normally considered a fixed asset because it is not intended for distribution (to the public) or as an item for sale by the government. Rather, it is intended for use by the government itself.

In the public sector, fixed assets encompasses a wide variety of assets from buildings to purchasable capital assets such as computers, vehicles, machinery, etc. Their role and usage is similar to the private sector, except rather than produce goods and services for commercial profit, the government's usage is to further public service delivery.

A major material difference between private and public sector asset management is in the accounting treatment and valuation issues associated with government assets vs private sector fixed assets. The private sector requires numerous depreciation approaches to maximize profitability (through a tax shield, defer taxes, etc.). In the public sector, more straightforward depreciation options such as straight-line and double-declining balances are preferred as it reduces the complexity of the accounting treatment, management and maintenance of government assets.

The major accounting differences for fixed assets vs inventories is the management of the cost. Fixed assets are depreciated over the life (usage) of the asset; inventories (as assets) are typically expensed off on a usage basis. Depreciation may or may not be required on inventories. Within government, inventories are either provided free or at a nominal charge as part of the government's role.

Support Entities

Asset Class

Overview

An Asset Class is what defines an asset's characteristics and groups all similar assets together. This helps the organization when locating an asset with specific characteristics. An asset item must belong to a class which defines its basic characteristics and type. A computer may be an asset class and can also be a parent class for a desktop or laptop computer class.

 

Navigation 

Assets ► Support Entities ► Asset Class

 

Asset Classes Screen Fields and Tab

FieldsDescription
IDThe unique identification code, manually entered by users or automatically generated based on parameters.
ActiveThe status of the asset class it is Active or Not.
Is ComponentDetermines if this Asset Class can be referenced as a component of a parent asset.
Is MovableDefines whether all Asset Items represented by this class are physically Movable or not.
Is Used On Asset Item That Was On ConstructionBy default it is false, the user can change the value. If this attribute is true then when the user selects this asset class on asset item, the system displays Manage by Institution and Manage by Vendor.
DepreciationThe default value is true. If this is false then the asset value can’t be depreciated.
Useful LifeThe useful life of the asset class. This is measured in years.
Total Periods To DepreciateThis information contains the number of periods that this Class of Asset should have.
Salvage PercentageApplied to the original cost of all the related asset items in order to calculate their salvage values.
Depreciation Rate FactorThis rate is used for the declining balance depreciation method.
Parent Asset ClassParent Class of this Asset Class, e.g. Computers can be Parent Class for Desktops.
Depreciation MethodDefault Depreciation Method for this asset class.
Useful Life Unit of MeasureA class might suggest a useful life for an asset item belonging to this class.
Depreciation Reference DateReference date when the Assets belonging to this Asset Class starts to depreciate. Available values are: Acquisition Date, Start in Use Date, Receipt Date, and Month/Year of Manufacture.
LanguageThe default value is English.
NameThis is the name of the asset class.
DescriptionA detailed description of the Asset Class.
Accumulated Depreciation CodingThis is the coding block for the accumulated depreciation.
Coding BlockCoding block for this asset class.
Revaluation surplus codingThis is an optional attribute referencing the revaluation surplus coding block used for revaluation on assets.
Expense Coding BlockThis coding block will be used to associate all expenses (including depreciation) related to this asset class.
Coding Block for Confiscation, Expropriation, and AppropiationIt depends on the system setting of the parameters. If its related parameter is true and false then the system asks the value and display it. This is asset coding block.
Financial Coding of TransferFinancial coding block of asset transfer.
Coding Block used for Manage by InstitutionBy default it is hidden. This coding block is used to generate financial transactions related to the Asset Transaction.
Coding Block used for Manage by VendorBy default it is hidden. It is the financial coding block field. This coding block is used to generate financial transactions related to the Asset Transaction.
Inherit Depreciation Rate FromThis is the inherit depreciation rate for the asset class.
Custom Period Depreciation Rates TabAllows users to select previously configured customized depreciation rates from another Asset Class.  Users can modify the values copied from the other Asset Class.
Asset Item Additional Field Configs TabIt allows the user to configure asset additional field.

 

Asset Class Asset Item Additional Field Configuration

Overview

Configuration relating to additional field of Asset Item in Asset Class gets added from this tab.

 

Asset Class Asset Item Additional Field Configuration screen Fields

Field

Description

Sequence #

The sequence number of additional field configuration is automatically generated by the system.

Active

Whether the record added is kept active for usage, gets marked in the checkbox.

Entity PropertyProperty of the entity like whether it refers to length, width, height, color, exchange rate, gender, etc. is selected from the dropdown box.
Is Display PropertyWhether this is a display property, gets marked in this field.
Is Mandatory PropertyWhether this is a mandatory property, gets marked in this field.

 

Customized Period Depreciation Rates Tab

Overview

Allows users to select previously configured customized depreciation rates from another Asset Class.  Users can modify the values copied from the other Asset Class.

Customized Period Depreciation Rate Tab Screen Fields

FieldsDescription
Consecutive Period NumberThe period in which the asset is useful.
Depreciation RateThe rate by how much the asset is depreciating.

 

Asset Item Groups

Overview

The Asset Item Group represents a group of asset items that all share similar characteristics, allowing them to be put together into one single group. The Support Entities section help users to understand the different characteristics that organizations use to base their grouping of assets and are given the opportunity to understanding the method of creating, deleting and modifying Asset Item Groups.

 

Navigation

Assets ► Support Entities ► Asset Item Group

 

Asset Item Groups Screen Fields

Field

Description

ID

Unique identification code of the Asset Item Group.

Language

Language used to describe the Asset Item Group.

Abbreviation

Short form of the Asset Item Group.

Purpose

Defines the purpose of the Asset Item Group with relation to the Asset Items.

 

Physical Conditions

Overview

 

Asset Item Physical Condition represents the different values associated to a physical condition of an Asset Item. Asset Physical Condition can include: Mint, Good, Not Good, Obsolete, Broken, etc. For example, a 'Broken' asset physical condition describes any item that has been broken and cannot be used.

 

Navigation

Assets ► Support Entities ► Physical Condition

 

Physical Condition Screen Fields

Field

Description

ID

Unique identification code of the Physical Condition.

Is Default

If false, this specific Physical Condition is not the default entry.

Language

Language used to describe the Physical Condition.

Abbreviation

Short form of the Physical Condition.

Description

Short description of the Physical Condition.

 

Asset Transaction Types

Overview

Different transaction types on assets are available within the application; these transactions may have an impact on the General Ledger Journal entries, Expense vouchers or Cash Sales. This screen is designed to be flexible enough to support transactions that may or may not be linked to other financial functions within the system.

The three main types of Transactions identified are:

Transactions by Disposal

Transactions that affect Value Change

Transactions that do not affect Value Change or Disposal

This screens represents different behaviors on disposal, value change and non-value change transactions.

Navigation

Assets ► Support Entities ► Transaction Types

Asset Transaction Type Screen Fields

Field

Description

Id

Unique Asset Transaction Type identifier, manually entered by user or automatically generated based on parameters.

Cash Involved

Specifies whether the transaction type has revenues or expenses as a result of the disposal or exchange of the asset items.

Requires Employee Information

Default Value false. If this attribute is equal to true then system should displays and requires on asset transaction, Responsible Employee.

Transaction Class

Groups of Transactions that are used to enable flexibility within the application when dealing with numerous requirements.

Retroactive Adjustment Type

Specifies whether this transaction must apply a retroactive adjustment or not

Intervenient Type

The name of the person that is the intervenient in this transaction.

Predefined Debit Account

A list of debit accounts to be chosen from.

Predefined Credit Account

A list of credit accounts to be chosen from.

Allowed Financial Operation Type

By Default - the selection "All" will be displayed. A Financial Operation Type references a financial operation related to this transaction, financial operations can be previously submitted manually by other processes an can be associated for the asset administrative purposes only.

Debit Account Origin

A list of account where the debit amount will originate from. The field will contain 'Account from Asset', 'Custom Account', 'Predefined', and 'Unknown'. By default - 'Unknown' will be displayed.

Credit Account Origin

A list of account where the credit amount will originate from. The field will contain 'Account from Asset', 'Custom Account', 'Predefined', and 'Unknown'. By default - 'Unknown' will be displayed.

Language

Country specific language used to register the name of the Asset Transaction Type

Name

Name of Asset Transaction Type.

Asset Class Used On This Asset Transaction Tab

A collection of one or more asset class that system is going to use to filter only the asset item that has the asset class selected on this system will have icons select all or unselect when user is selecting the asset class

Receipt Type Used On This Asset Transaction Tab

A collection of one or more Receipt Type that system is going to use to filter only the asset item that has the Receipt Type selected on this system will have icon select all or unselect when user is selecting the receipt type.

Receipt Type filter applied in Asset Exchange Asset Tab

A collection of one or more  Receipt Type that system is going to  use  to filter only the asset item that has the Receipt Type selected on this system only  is going to displays  receipt type that have Receipt Type = Active  and Is used on Asset Module equal to true. System has the icon to select all or unselect when user is selecting the receipt type.

 

Transactions Custom Accounts

Overview

This document explains how to create Transactions Custom Accounts. Certain asset transaction types require particular specifications according to users needs. These requirements need to be customized manually by the employee who has authority. The Asset Transaction Custom Account screen allows the ability to make these changes to a specific transaction type. This screen represents the different asset custom accounts that can be associated to one or more Asset Transaction Types according to customer needs. The custom accounts are listed by a unique identification code that can be modified and deleted.

 

Navigation

Assets ► Support Entities ► Transaction Custom Account

 

Asset Transaction Custom Account Screen Fields

Field

Description

Id

Unique identification code, manually entered by users or automatically generated based on parameters.

Active

If checked, Asset Transaction Custom Account is available.

Coding Block

Used to ensure entities sharing information are processed as needed and configure in such a way to display the correct elements that are specified.

Language

Country specific language used for description.

Name

A brief description of the Asset Transaction Account, e.g. Cash Account, Maintenance & Repair Account, etc.

 

Depreciation Methods

Overview

Depreciation is a method of reducing the value of assets being used over a certain period of time. This reduction of value is commonly due to usage, passage of time, wear and tear, technological outdating, depletion or absolution of the asset. All organizations have to include deprecation calculations and costs in their financial statements and processes. The method of doing these exercises varies depending on the type of depreciation and the asset being depreciated. The Depreciation Method screen's purpose is to provide standardized and user defined methods that will be the basis for performing fixed assets depreciation and postings. All these methods are cataloged by unique identification codes that will be available for authorized users to search.

 

Navigation

Assets ► Support Entities ► Depreciation Method

 

Depreciation Methods Screen Fields

Field

Description

Id

Unique identification code, manually entered by users or automatically generated based on parameters

Active

If selected, the depreciation method will be available for use.

Rates Required

Used only for Customized Rated Depreciation Method. Represents a user defined depreciation rate to be applied to the Asset Class and could be inherited to a specific Asset Item.

Predefined Method Type

A selection of depreciation methods to choose from. Available options are: Straight Line, Declining Balance, Activity Based, Sum of the Years Digits, Customized Rates.

Language

Country specific language used for description.

Abbreviation

Short Description for the Depreciation Method.

Description

Description for the Depreciation Method.

 

Reasons for Differences

Overview

The Reason for Difference screen is a user defined catalogue of reasons that will support the Asset Item in Count or Asset Item in Count Component Status (whenever there is overage and/or shortage). It could be used for reporting and statistics.

 

Navigation

Assets ► Support Entities ► Reason for Difference

 

Reasons for Differences screen Fields

Field

Description

ID

Unique identifiication code for the Reason for Difference.

Difference Active

If checked, then the record for Reason for Difference is available and can be used. If unchecked, the record is for reference purpose only.

Language

Country specific language used for description in the record.

Short Description

Short description for the Reason for Difference.

Description

A detailed description for the Reason for Difference.

 

Asset Class Catalogue Item

Overview

Asset Class and Catalogue Item are matched with each other in 'Asset Class Catalogue' screen and their records are managed through this screen.

 

Navigation

Assets ► Support Entities ► Asset Class Catalogue Item

 

Asset Class Catalogue Item screen Fields

Field

Description

Id

Unique identification code, manually entered by users or automatically generated based on parameters

Catalogue Item

Catalogue Item is selected from lookup button available for this field.

Asset Class

Asset Class is selected from lookup button avaialble for this field.

 

Asset Item Massive Workflow Transition

Overview

This process will allow user to execute a workflow transition for one or many Asset Items.

Navigation

Asset  Support Entities  Asset Item Massive Workflow Transition

Asset Item Massive Workflow Transition Screen Fields

FieldsDescription
Fiscal YearDefault Value: Current Fiscal Year for Budget Execution
Fiscal PeriodDefault Value: Current Fiscal Period for Budget Execution
From StageDisplays the initial Stage and all the intermediates stages of the Asset Item
To StageDefault Value:  Approved. System will filter all the Asset Items that are subject to get this workflow status
Asset Item OriginClose Domain: MANUAL  (default), DATA IMPORT, GOOD RECIEVE NOTE
Asset Item Id FromUseful only when Asset Item ID is automatically generated by the system. 
Asset Item Id ToUseful only when Asset Item ID is automatically generated by the system. 
Catalogue ItemLook up functionality to search by relevant Catalogue Item
Asset Item Short DescriptionShort description of Asset Item.
Original CostDefault value is zero.
Current ValueDefault value is zero.
Start Date In UseStart Date of the Asset item 
Receipt DateReceipt Date of the Asset item
Asset Item Physical ConditionDropdown to select Asset Item physical condition.
Month Year Of ManufactureAsser item Manufacture date.
Asset ClassLook up functionality to search by relevant criteria.
RegionLook up functionality to search by relevant criteria.
Created ByLook up functionality to search by relevant criteria.
Created OnDate picker to select created date.
Approved ByLook up functionality to search by relevant criteria.
Approved OnDate picker to select Approved date.
InstitutionLook up functionality to search by relevant criteria.
WarehouseLook up functionality to search by relevant criteria.

 

Massive Update Asset Item Information

Overview

This support entities allows the user to make a massive update of Asset Item Information.

Navigation

Assets ► Support Entities ► Massive Update Asset Item Information

Massive Update Asset Item Information Screen Fields

FieldsDescription
CodeAutomatically generated
Asset ClassAn asset item belongs to an Asset Class
LanguageThe country specific language of the system. By default value is English. 
NameName of the Asset item.
ActiveDefault value TRUE
InstitutionInstitution that creates the templates to be used on massive update information
Creation DateDate when the Massive Update of Asset Item Information was created
Massive Update Asset Item Information Detail TabSystem must allow user to select one or many Asset Item Additional Field at same time and create one row by each field selected.

 

Massive Update of Asset Item Information Detail

Overview

This entity allow users to add the Massive Update of Asset Item Information Detail.

Massive Update of Asset Item Information Detail Screen Fields

FieldsDescription
Serial NumberGenerated by system
BrandFilter by brand first and then by model of such brand.
Brand ModelThe Brand Model  related to Brand selected
Asset Item DescriptionAsset Item Description, Manually entered by user
Asset Item Physical ConditionFilter an specific physical condition

 

Massive Update Information On Asset Item

Overview

This process allows users to update Asset Item information.

Navigation

Asset ► Support Entities ► Massive Update Information On Asset Item
 
Massive Update Information On Asset Item Screen Fields
FieldsDescription
Workflow StatusDropdown to select workflow status.
Asset ClassLook up functionality to search by relevant criteria.
Fiscal YearDefault Value: Current Fiscal Year for Budget Execution
Fiscal PeriodDefault Value: Current Fiscal Period for Budget Execution
Asset Item OriginClose Domain: MANUAL  (default), DATA IMPORT, GOOD RECIEVE NOTE
Asset Item Id FromUseful only when Asset Item ID is automatically generated by the system. 
Asset Item Id ToUseful only when Asset Item ID is automatically generated by the system.
Catalogue ItemLook up functionality to search by relevant Catalogue Item
Asset Item Short DescriptionShort description of Asset Item.
Original CostDefault value is zero.
Current ValueDefault value is zero.
Start Date In UseStart Date of the Asset item
Receipt DateReceipt Date of the Asset item
Asset Item Physical ConditionDropdown to select Asset Item physical condition.
Month Year Of ManufactureAsser item Manufacture date.
RegionLook up functionality to search by relevant criteria.
Created ByLook up functionality to search by relevant criteria. 
Created OnDate picker to select created date.
Approved ByLook up functionality to search by relevant criteria.
Approved OnDate picker to select Approved date.
InstitutionLook up functionality to search by relevant criteria.
WarehouseLook up functionality to search by relevant criteria.

 

Payment Frequency

Overview

This is a catalog to manage the frequency of payments.

Navigation

Assets ► Support Entities ► Payment Frequency

Payment Frequency Screen Fields

FieldsDescription
IdUnique identification code, manually entered by users or automatically generated based on parameters.
Payment Frequency TypeUser selects one of the drop down list of payment frequency. E.g. Daily, Monthly, Bimonthly, Biannual, Annual, Quarterly.
NameName of the frequency Payment
DescriptionShort description of the Payment Frequency.
ActiveActive checkbox is checked by default
Registration DateDate of Registration for Payment frequency

 

Asset Items

Overview

An asset is a resource controlled by the feature as a result of past events or transactions and from which future economic benefits are expected to flow to the feature. A fixed asset is a long term good kept and used by the government, typically over 12 months. A building, vehicle, or computer is normally considered a fixed asset because it is not intended for distribution (to the public) or as an item for sale by the government. Rather, it is intended for use by the government itself. Here Assets module must calculate accumulated depreciation and book value on a monthly, quarterly, semi-annually, yearly, or user-defined basis.
Asset items feature is the central repository for all asset items used throughout the system. The asset item feature contains the information of every asset item within the system, including their relationships to one another through asset hierarchy, asset classes, and parent assets.
The Asset Item screen contains information regarding the different assets that the organization may have. Assets are economic resources that are tangible or intangible and are capable of being owned by the organization. This screen contains different information about each asset such as Amount, Deprecation, Asset Class, Useful Life and other pieces of information. An example of an Asset Item is “goods” which would be kept track using Financial Statement.
 

Navigation 

Assets ► Asset Items

 

Asset Items screen Fields and Tabs

FieldsDescription
CodeThe unique identification code, manually entered by users or automatically generated based on parameters
Workflow StatusThe status of the asset item workflow. Is either “Registered”, “Approved by Assets Office” or “Approved by Accounting Office”.
Fiscal YearThe current Fiscal Year when the asset item is created. The default value is the current year.
Fiscal PeriodThe current Fiscal Period when the asset item is created. The default value is the current period.
Asset Origin IDWhen asset transfer created New asset item, it creates an original asset item id.
Asset Previous IDThe system displays this only when the system creates a new asset item as a result of a transfer. Every time that an asset item transfers from one Institution to another, the system is set here Asset Previous ID.
Has WarrantyThe user can check if the asset created has a warranty.
Is in Physical CountIf checked, the asset item was included in the physical inventory country. The default value is set to false. This is a read-only attribute and can be modified only when a Physical Count Process has been registered.
Not Found in CountThe default value is false.
In TransitThe user can check this as applicable. If it is true, then the item is in transit.
In MaintenanceThe default value is false, is a read-only attribute.
Posting StatusThe posting status of the asset item is either “Saved” or “Temp Saved”. This field will be updated by the system when the voucher is either saved or temp saved.
Temp #The temp number when asset item is temp saved.
Not Posted ReasonThe reason why the asset item was not posted, when temp saved.
OriginOrigin of the asset item.
Posted OnThe date when the asset was recorded.
ItemCatalogue item id.
Asset ClassAn asset item must belong to an Asset Class, e.g. 'Desktop Computer'. When an asset class has subclasses, the system must enforce to enter asset items of such subclasses.
Parent Asset ItemWhen an asset is composed of several other assets, e.g. a Personal Computer has a Mouse, Keyboard, and CPU case.
Useful LifeThe amount of time the asset is useful for. This must be expressed using the selected Unit of Measurement.
QuantityThis is used to group identical assets which are in the same class. For example Software Licenses.
Receipt TypeThe system displays the name of the Receipt Type of the Asset Item.
Item Ownership TypeThe type of ownership for the asset item. Is either “Owned” or “Leased”. The default value is “Owned”.
Receipt DateDate Picker. The user can select the date of the receipt of the asset item.
Asset Count Last DateIt is the date when the Last Asset Count made. This attribute is applicable when Asset Count Status equals to Finished in Asset Count Request Entity.
Item Value CalculationSelect the item value calculation of the asset item from the drop-down menu. Choices include Component Cost and Item Cost.
Original CostThis is the value paid for the asset, depending on the acquisition information this could be an estimated price or fair cost if the asset has been obtained by a donation, bequest or sequestration. This value cannot be modified once the first depreciation period has occurred for this item.
Salvage ValueThe salvage value is the expected value after the asset item has been fully depreciated.
Book ValueThe value of the asset from the accounting perspective. This automatically generates.
Useful Life UOMThis is the unit of measurement that is applied to the Useful Life.
Last Evaluation of Physical ConditionThe users must select the item physical condition of the asset item from the drop-down menu. These attributes are updated by the physical condition has been changed with Custody Transaction.
Item Operational StatusIt is a Read-only attribute. The current operational status of the asset item. Is either “In Stock”, “In Use”, “Disposed”, “Being Repaired”, or “For Sale”. The default value is “in stock”.
Item TypeThe type of asset item. Is either “Capitalized”, “Being Constructed”, or “Expensed”.
BrandThe brand of the asset item.
InstitutionThe institution and warehouse information where the asset item is located.
WarehouseContains details where the item is located.
EmployeeThe employee who has custody of the asset.
Asset Custody TypeThe Asset Custody Type of this asset when applicable, meaning that this attribute can be affected only when this asset has been part of an assignment transaction.
Employee Assignment InstitutionRead-only Attribute.
RegionThe region where the asset is located.
Responsible Employee that Received the ItemsThe employee information receives the asset items.
Asset Coding BlockThis attribute is mandatory only if the function for A Support is set to true. This value is copied from the Asset Class GL Coding Block. However, Users may change this value. Search function to the COA Group with the attribute Budget Execution set equal to True.
Historical Coding BlockWhen the asset origin is goods receive note the system displays the coding block. System copy the coding block the goods receive note that created the asset Item.
Serial NumberThe unique identifier of the asset item. This is what makes an asset different from others of the same brand/model.
Related Legacy IdThis attribute can be used to link to legacy asset systems or previously codification, the purpose of this attribute is to have a history of an asset even if the asset codification has been changed.
Bar CodeContains the code recognized by the code reader.
LanguageThe country-specific language of the system. By default value is English.
AbbreviationShort description of the asset item.
DescriptionA detailed description of the asset item.
RemarksAdditional information such as procedure or instructions from the agency who donated the Asset.
Created ByThe user who created the asset item, Populated automatically by the system at creation time of the record.
Created OnDate and Time of asset item creation, Populated automatically by the system.
Approved ByThe user who approves, Populated automatically by the system when the corresponding workflow reaches its last Approval.
Approved OnDate and Time of approval, Populated automatically by the system.
Times in AuctionThe default value is Zero, this is a read-only attribute and system is going to sum here the times that an asset item had been in an auction process once that the auction has been approved then the system is going to update this attribute.
Active Insurance CoverageTrue when the asset item has valid insurance Coverage.
Is related with a DisposalThe default value is false. When it is true system displays the user able to relate the new asset Item with the disposal of the asset item
Asset Item Additional FieldsThe system is going to display a string attribute where the user can set the order of each attribute on the additional fields displayed on the asset item linked with the asset class that has configured the additional fields.
Project ExecuteIf the value of this is true, indicates if the asset acquires by execution of externally funded projects.
Description ProjectThe system automatically displays the project description.
Project AssociatedThe unique identifier that identifies an ID of the project.
Specific SourceIt allows the users to select the unique source code using the lookup feature.
Description Specific SourceThe system automatically displays the project description.
Attachments TabThis Tab is used to attach files/documents to an asset item
Pictures TabThis Tab is used to include pictures of an asset item.

 

Attachments

Overview

The Attachment Tab is used to attach any necessary documents related to an asset item.

 

Attachment Tab screen Fields

FieldsDescription
IDThe unique identification code manually entered by users or automatically generated based on parameters.
LanguageLanguage for that Attachment file.
TitleThe title of attachment uploaded.
DescriptionAny description of the attachment or additional information not included in the uploaded document can be included here.
AttachmentChoose respective file to upload.
Date TimeThe date and time the attachment was uploaded.
DateThe Date when the user creates the attachment.
UserThe name of users uploading the attachment.

 

Pictures

Overview

The Pictures Tab is used to include any pictures of an asset item.

 

Pictures Tab screen Fields

FieldsDescription
IDThe unique identification code manually entered by users or automatically generated based on parameters.
LanguageLanguage for that Attachment file.
TitleThe title of picture attachment uploaded.
DescriptionAny description of the attachment or additional information not included in the uploaded document can be included here.
AttachmentChoose respective file to upload.
Date TimeThe date and time the attachment was uploaded.
DateThe Date when the user creates the attachment.
UserThe name of users uploading the attachment.

 

Asset Transfers

Overview

An asset transfer takes place when the asset item changes its location, organization or requires an account's change. All of the transfers will issue an automatic Asset Financial Operation except for the transfer between warehouses within the same location and organization since it doesn't have an impact on the General Ledger.
 
 
Navigation 

Assets ► Asset Transfer

 

Asset Transfer screen Fields and Tab

Field

Description

ID

The unique identification code of the asset transfer (system generated).

Transfer Type

It is a closed domain. Users may choose following values “Warehouse”, “Expense Account”, “Assets Item Account”, “Accumulated Depreciation Account” From dropdown box. Thetypeof asset transfer to be performed.

Transfer Status

The status of the asset transfer (automatically generated and updated).

Transfer Effective Date

The Date the Asset Transfer is to become effective.

Source Asset GL Coding Block

The Source Asset GL Coding Block will be automatically populated if there is a common segment value for all assets selected for transfer, otherwise this attribute will have no associated value.

Destination Asset GL Coding Block

The Destination Asset GL Coding Block applies only if the Source Asset GL Coding Block has an associated value. Users can enter the destination GL Coding Block with the same pattern of the Asset Source GL Coding Block.

Source Expense GL Coding Block

The Source Expense GL Coding Block will be automatically populated if there is a common pattern in the expense GL coding block for all asset items selected for the transfer.

Destination Expense Coding Block

The destination expense GL Coding block is applicable if the Source Expense GL Coding Block has a value.

Source Accumulated Depreciation Coding Block

The Source Accumulated Depreciation Coding Block will be automatically generated if the is a common pattern in the accumulated depreciation GL Coding block for all asset items selected for the transfer.

Destination Accumulated Depreciated Coding Block

The Destination Accumulated Depreciation GL Coding block applicable if the Source Accumulated Depreciation Coding Block has a value.

Source Warehouse

The Source Warehouse is automatically populated if the selected assets have a warehouse in common.

Destination Warehouse

A display only field for the destination warehouse for the asset transfer.

Language

Language used to enter the description information for the asset transfer.

Description

A short description and reason for the asset transfer.

Asset Transfer Items Tab

This Tab is used to include the Asset Item ID and amount of item to transfer.

 

Asset Transactions

Overview

The FreeBalance Accountability Suite provides multiple asset transaction types. These transaction types may impact the Journal Vouchers, Expense Vouchers, or Cash Sales. Three groups of transactions are available:
a) Transactions by Disposal
b) Transactions that affect Value Change
c) Transactions that do not affect Value Change or Disposal

 

Navigation 

Assets ► Asset Transaction

 

Asset Transactions screen Fields

Field

Description

Id

 Unique identification code, manually entered by users or automatically generated based on parameters.

Asset Transaction Type

 This field represents different behaviors on disposal, value change and non-value change transactions.

Asset Transaction Origin

 Indicates if the Asset Transaction is created manually or automatically.

Asset Transaction Status

 The current status of the asset transaction. Can be “Approved”, “Financially Approved”, or “Registered”.

Effective Date

 Effective Date of the Asset Transaction (optional).

Amount

 The monetary value of the asset transaction.

Intervenient Name

 Name of the person that is the intervenient in this Transaction.

Vendor

 The vendor related to the asset transaction. The vendor field is mandatory when the Asset Transaction Type attribute is ‘Vendor’.

 Customer

 The customer related to the asset transaction. The vendor field is mandatory when the asset transaction type attribute is ‘Customer’.

Accounting Office

 The accounting office for the asset transaction.

Is Reverse

 Specifies whether this transaction is for reversion purposes. The default value is false.

Fiscal Year

 This is the fiscal year applicable for this asset transaction.

Fiscal Period

 This is the fiscal period applicable for the asset transaction.

Language

 Country specific language used to enter the Transaction information.

Reverse Reason

 A brief reason for the reversal transaction. This field is mandatory if the attribute ‘Is Reverse’ is selected, if it is not selected, the Reverse Reason field can still be used to enter a reason for non-Reverse Transactions.

Asset Transaction Items Tab

 This Tab is used to include transaction asset item information.

Workflow Status

 Status of the Asset Transaction created. It can have the following values - 'Registered', 'Approval Requested', 'Approved', 'Cancelled'. Once the transaction has been approved, the system must automatically issue the Financial Transaction to FA in posted mode since it has already been approved by the Assets Accounting Responsible.

Exchanged Assets Tab

 This Tab is used to include transaction information on asset items that are exchanged.

 

Custody Transactions

Overview

A Custody Transaction is used to record the transfer of responsibility of an asset to or from an employee. The employee who is given responsibility of the asset is known as the ‘Employee in Custody’. An asset is distributed from or returned to the Release Responsible Employee.

 

Navigation 

Assets ► Custody Transaction

 

Custody Transactions screen Fields and Tab

Field

Description

Id

 Unique identification code, manually entered by users or automatically generated based on parameters

Transaction Type

 Defines the specific type of transaction taking place. Choices include Custody and Release of Custody.

Fiscal Year

This is the fiscal year applicable for this custody transaction.

Fiscal Period

This is the fiscal period applicable for the custody transaction.

Custody Status

 Read-only and is not editable.

Institution

 The Field referes to the

Asset Custody Type

This field represents the assets custody type for custody transaction.

Effective Date

 Effective Date of the Custody Transaction (optional parameter) that can be selected by using the calendar icon.

Employee In Custody

 The employee responsible for the asset(s) if the Transaction Type is ‘Custody’. If the Transaction Type is ‘Release of Custody’ it is the employee releasing custody of the asset.

Release Responsible Employee

 The asset management employee that is giving or receiving the assets in the Custody Transaction.

Review Responsible Employee

 This is the employee responsible for the physical review before applying the release of custody.

Language

 Language used to enter the observation information.

Observation

 Observations regarding the assignment or release of the asset.

Custody Transaction Assets Tab

 This Tab is used to add the asset item information to the custody transaction.

 

Goods/Services Requests

Overview

This section is to provide a unique entry point of registering and processing goods and services requests based on a workflow that starts in the Institution Unit where the goods and services are  required. The registry process will provide a helpful feature based on souring packages which are predefined sets of Inventory Items (this is applicable only for Inventory type Goods) with  predefined specific quantities. The Asset and Inventory Departments will be responsible for identifying the warehouse suppliers based on suggested warehouses provided by the system.  Finally the warehouses will be responsible of the delivery process made through a 'Dispatch Order'.  Each requested Item will have an individual progress of the supply process, meaning that partial delivery of Goods/Services Requests is allowed, updating the Good and Services Request status to 'Delivered' when all its related items have been fully delivered to the Institution Unit.

When there is no availability of the items requested (in the case of goods)  or for the case of Replenishment Requests (from a particular Warehouse), the system will mark those items as candidates for a Purchase Requisition, and once this PR has been issued by the Purchasing Department Responsible (initially this will be generating the PR to the FA Classic Application), the system will update via webservice the PR number as a reference to the Goods/Services Request Item, and this will be link between AA and FA.

 

Navigation

Assets ► Goods/Services Requests

 

Goods/ Services Request screen Fields and Tabs

Field

Description

ID

 Unique identification code, manually entered by users or automatically generated based on parameters.

Created On

 The date the Request was made.

Is Replenishment Request

 This is for viewing purposes only. The checkbox will be checked only if a goods/service request is generated from the Replenishment Request Process.

Request Status

 This will be automatically generated depending on the workflow of the Goods/Service Request. The available statuses are- 'Registered', 'Requested for Approval', 'Approved', 'and In Supply Process ‘,’ Cancelled and Delivered’. By Default - the status 'Registered' will appear.

Registered By

 This field is automatically populated by the system and is for viewing purposes only. It represents the employee who is registering this G/S Request.

Request Institution Unit

 This is the institution unit that requires the goods/services.

Priority

 This field can take one of the following values- 'Low', 'Medium' and 'High'. By Default - 'Medium' will be displayed.

Minimum Required Date

 The minimum required date to receive the goods/services. If this field is left blank, that means that there is no minimum required date to receive the goods. 

Maximum Required Date

 The maximum required date to receive the goods/services.

Subtotal Cost

 This is for viewing purposes only and is automatically calculated by the system. This is the summary of all G/S Request Items Costs * Item Quantity.

Tax Amount

 This is for viewing purposes only and is automatically calculated by the system. The summary of all taxes from the G/S Request Items. This value will be defaulted to zero if no taxes have been specified.

Reception of Goods Responsible

 Indicates the person who is responsible for the reception of goods.

Request Group Reference

 This is the G/S Request Group associated to this G/S Request; a material request group is required when custom domain type attributes related to a G/S Request are needed or a special classification criterion is required for different G/S Requisition needs.

Language

 Country Specific Language that is being used to register the abbreviation, description and remarks.

Abbreviation

 A brief description of the goods and services.

Description

 The intended objective or destination for the goods/services that are being required.

Remarks

 Additional information related to this G/S Request.

Attachments Tab

 This Tab is used to add relevant attachments (e.g. documents related to a good or service) to the good/service request.

Additional Information Tab

 This Tab is used to view additional information regarding the good/service request If users selects ReqGroup or Ftes in Request Group Reference fields then “Additional information” Tab is active.

Request Sourcing Packages Tab

 This Tab is used to add a sourcing package to the request.

Request Items Tab

 Mandatory field used to add the item(s) that are being requested.

 

Approve Goods/Services Request

This section is to provide a unique entry point of registering and processing goods and services requests based on a workflow that starts in the Institution Unit where the goods and services are  required.

Navigation

You should be in Search Mode.

1.   If you know the ID or other attribute, enter the information in the appropriate field. If you want to see a list of all Goods/Service Requests, leave fields blank.

2.   Click on the Find icon . (Goods/Service Requests list will appear)

3.   Click on the Goods/Service Request you want to approve. You will then be in View Mode.

4.  Select ‘Approve’ from the drop down list next to the Transition field.

 5. Add the following description in the Step Note: Goods/Service Request Approved’in the Transition window.

 6. Click on the Finish icon.

 7. A window will be displayed confirming the Goods/Service Request workflow transition was executed.

 8. At this point the Request status is automatically set to ‘Approved’.

Create a Goods/Services Request

This section is to provide a unique entry point of registering and processing goods and services requests based on a workflow that starts in the Institution Unit where the goods and services are required.

To CREATE, follow the steps below:

Navigation

By default, you will be in Search Mode.

1. Click on the New icon   (you will then be in Insert Mode).

2. Enter the Goods/Services Request information. Fields with an asterisk  are mandatory fields.

3. ID: This is a unique identifier generated by the system.

4. Created On: The date the Request was made

5. is Replenishment Request: This is for viewing purposes only. The checkbox will be checked only if a goods/service request is generated from the Replenishment Request Process.

6. Request Status: This will be automatically generated depending on the workflow of the Goods/Service Request. The available statuses are: 'Registered', 'Requested for Approval', 'Approved', 'In Supply Process', 'Cancelled' and 'Delivered'. By Default - the status 'Registered' will appear.

7. Registered By: This field is automatically populated by the system and is for viewing purposes only. It represents the employee who is registering this G/S Request.

8. To enter the Request Institution Unit, click on the Lookup icon , click on the Find icon  to retrieve the Request Institution Unit list, then select the Request Institution Unit.

  • Request Institution Unit: This is the institution unit that requires the goods/services.

9. Choose Priority from the Drop Down Menu.

  • Priority: This field can take one of the following values: 'Low', 'Medium' and 'High'. By Default - 'Medium' will be displayed.

10. Select the Minimum Required Date and the Maximum Required Date from the Calendar icon, if required.

  • Minimum Required Date: The minimum required date to receive the goods/services. If this field is left blank, that means that there is no minimum required date to receive the goods. 
  • Maximum Required Date: The maximum required date to receive the goods/services.

11. Subtotal: This is for viewing purposes only and is automatically calculated by the system. This is the summary of all G/S Request Items Costs * Item Quantity.

12. Tax Amount: This is for viewing purposes only and is automatically calculated by the system. The summary of all taxes from the G/S Request Items. This value will be defaulted to zero if no taxes have been specified.

13. To enter the Reception of Goods Responsible, click on the Lookup icon , click on the Find icon  to retrieve the Reception of Goods Responsible list, then select the Reception of Goods Responsible.

14. Choose Request Group Reference and Language from the Drop Down Menu if required.

  • Request Group Reference: This is the G/S Request Group associated to this G/S Request; a material request group is required when custom domain type attributes related to a G/S Request are needed or a special classification criterion is required for different G/S Requisition needs. 
  • Language: Chose Language as chosen.

15. Enter the Abbreviation, Description and Remarks as required.

  • Abbreviation: A brief description of the goods and services.
  • Description: The intended objective or destination for the goods/services that are being required.
  • Remarks: Additional information related to this G/S Request.

 

To ADD an Attachment:

Click on the Attachment tab,,Attachment New icon and enter the new Attachment (refer to Attachments for more information).

To ADD a Request Sourcing Package:

Click on the Request Sourcing Package tab,,Request Sourcing Package New icon and enter the new Request Sourcing Package (refer to Request Sourcing Package for more information).

To ADD a Request Item:

Click on the Request Items tab,,Request Items New icon and enter the new Request Item (refer to Request Item for more information).

 

1. Click the individual Select Checkbox(es), under the required tabs to select and de-select the created or retrieved information, or click the Select All icon  or Unselect All  icon, to select or de-select all the created or retrieved information, if required.

2. Click the Remove icon to remove the selected created or retrieved information, if required.

3. Repeat steps 1 to 3 as required for each tab.

Click on the Save icon  at the bottom to save your new Goods/Services Request information.  A window will appear to confirm the new Goods/Services Request creation.  Click OK to confirm.  

Request Items

Navigation (From  click the New icon under )

Create a Request Item

Navigation (From  click the New icon under )

1. Enter the new Request Item information.  Fields with an asterisk  are mandatory fields.

2. To enter the Request Item, click on the Lookup icon ,  click on Find icon  to retrieve the Request Item list, then select the appropriate Request Item.

3. Enter the Required Quantity, Adjusted Quantity and Unit Cost if required.

  • Required Quantity: This value can be either entered manually or generated automatically by the system. If generated by the system, the value can not be modified.
  • Adjusted Quantity: This value specifies a positive or negative quantity over the Required Quantity.  The Quantity can only be changed by those who are responsible for inventory.
  • Unit Cost: By Default - the value is zero. Unit Cost can be an estimated cost. The system will later update the unit cost to a recorded value associated with the costing method used.

4. Choose the Supply Status and Unit of Measure from the Drop Down Menu if required.

  • Supply Status: The available supply statuses are: 'Not assigned', 'Reserved', 'Item Supplied', 'Requested in a PR', 'Supplier Not Available', 'On Hold for PR'. By Default - 'Not assigned' will be displayed in the drop down menu.
  • Unit of Measure: Assign a measurement unit to the goods/service being requested.

5. Enter the Requisition and choose the Language from the Drop Down Menu, if required.

  • Requisition: This is the reference to a Purchase Requisition that was generated in order to supply this G/S Request Item
  • Language:  Language as chosen

6. Enter the Description and Remarks if required.

  • Description: The intended objective of the goods/services that are being required.
  • Remarks: Additional information related to this G/S Request item.

 To ADD an Attachment:

7. Click on the Attachment tab,,Attachment New icon and enter the new Attachment (refer to Attachments for more information).

To ADD Applicable Tax:

8. Click on the Applicable Tax tab,,Applicable Tax New icon and enter the new Applicable Tax (refer to Applicable Tax for more information).  

To ADD a Custody Transaction Asset:

9. Click on the Custody Transaction Asset tab,,click on the Lookup icon ,  click on Find icon  to retrieve the Custody Transaction Asset list, then select the appropriate Custody Transaction Asset.    

10. Click on the Save and Return icon to save the Request Item information and return to the Goods/Services Requests screen, or click on the Discard icon  to discard the Request Item entry and return to the Goods/Services Requests screen.

Applicable Taxes

1. Enter the new Request Item Tax information.  Fields with an asterisk  are mandatory fields.

2. To enter the Request Item Tax, if required, click on the Lookup icon ,  click on Find icon  to retrieve the Request Item Tax list, then select the appropriate Request Item Tax.

  • Request Item Tax: The tax associated for the G/S Request Item, by default taxes will be populated based on Catalogue Item Predefined Tax Information.

3. Enter the Percentage if required.

  • Percentage: This field will display the percentage value of the Request Item Tax. The value can be changed if required.

4. Click on the Save and Return icon  to save the Goods/Services Request Item Tax information and return to the Goods/Services Request Item screen, or click on the Discard icon  to discard the Goods/Services Request Item Tax entry and return to the Goods/Services Request Item screen.

Request Sourcing Packages

Navigation (From  click the New icon under )

Create a Request Sourcing Package

Navigation (From  click the New icon under )

1. Enter the new Sourcing Package information.  Fields with an asterisk  are mandatory fields.

2. To enter the Sourcing Package, click on the Lookup icon ,  click on Find icon  to retrieve the Sourcing Package list, then select the appropriate Sourcing Package.

  • Sourcing Package: This field represents the different sourcing packages associated to a Goods/Services Request. Sourcing Packages are predefined item/quantity for a specific activity or destination, e.g. Training Courses.

3. Enter the Quantity: Number of Sourcing Packages required.

4. Click on the Save and Return icon to save the Sourcing Package information and return to the Goods/Services Requests screen, or click on the Discard icon  to discard the Sourcing Package entry and return to the Goods/Services Requests screen.

Delete a Goods/Services Request

This section is to provide a unique entry point of registering and processing goods and services requests based on a workflow that starts in the Institution Unit where the goods and services are required.

To DELETE, follow the steps below:

Navigation

By default, you will be in Search Mode.

  1. Find the Employee you want to Delete
  • Enter the information to be used as retrieval criteria in the appropriate field(s)If you prefer to see all Goods/Service Requests, leave all fields blank.
  • Click Find
  • Select the Goods/Service Request you want to Delete
  1. Click on the Delete icon
  2. A window will appear asking you to confirm                                                                                                                                                                                                                                                                                                                                                                                                                                                           
  3. Click OK to confirm and delete the Goods/Service Request.
  4. A window will be displayed confirming the Goods/Service Request has been deleted                                                                                                                                                                            
     

To Verify that the Goods/Service Request has been Deleted:

  1. Click on the Search icon
  2. Enter the Goods/Service Request information
  3. Click on the Find icon
  4. The window will appear

Modify a Goods/Services Request

This section is to provide a unique entry point of registering and processing goods and services requests based on a workflow that starts in the Institution Unit where the goods and services are required.

To MODIFY, follow the steps below:

Navigation

By default, you will be in Search Mode.

  1. Enter the information to be used as retrieval criteria in the appropriate field(s).  If you prefer to see a list of all Goods/Services Requests, leave all fields blank.
  2. Click on the Find icon 
  3. Click on the Goods/Services Request you want to modify.
    You will then be in Update/Delete Mode.
  4. Make the necessary modifications.  To add or remove any created or retrieved information under the Tabs, refer to the associated link of the created or retrieved information in Create a Goods/Services Request
  5. Click on the Update icon  at the bottom of the screen to save your modifications. A window will appear to confirm the modification. Click OK to confirm. 

Reject Goods/Service Request

This section is to provide a unique entry point of registering and processing goods and services requests based on a workflow that starts in the Institution Unit where the goods and services are  required.

Navigation

To REJECT a Goods/Service Request, follow the steps below:

You should be in Search Mode.

1.   If you know the ID or other attribute, enter the information in the appropriate field. If you want to see a list of all Goods/Service Requests,l eave fields blank.

2.   Click on the Find icon . (Goods/Service Requests list will appear)

3.   Click on the Goods/Service Request you want to approve. You will then be in View Mode.

4.  Select ‘Reject’ from the drop down list next to the Transition field.

 5. Add the following description in the Step Note: Goods/Service Request Rejected’ in the Transition window.

 6. Click on the Finish icon.

Search Goods/Services Request

This section is to provide a unique entry point of registering and processing goods and services requests based on a workflow that starts in the Institution Unit where the goods and services are  required.

Navigation

By default, you will be in Search Mode.

1.   If you know the ID, enter the information in the appropriate field.  If you want to see a list of all Goods/Service Requests, leave fields blank.

2.   Click on the Find icon 

3.   Goods/Service Requests list will be displayed.

4.   Click on the Goods/Service Request you would like to view.

Dispatch Orders

Overview

This screen manages the inventory leaving a particular warehouse to supply the goods requested by a Goods/Services Request.

Navigation

How to SEARCH:

  1. Enter the information to be used as retrieval criteria in the appropriate field (s). If you prefer to see a list of all dispatch orders leave all fields blank.
  2. Click on the Find icon 

The Dispatch Order screen includes the following fields:

FieldDefinitions
IDUnique identification code of the Dispatch Order.
Date Createdthe date the dispatch order is created
Delivery Expected Date:the date the delivery is expected to arrive.
Delivered Datethe date the order was delivered.
Dispatch Order Status

the current status of the dispatch order. For example Registered, Reserved, In Transit, Cancelled or Delivered.

Delivery Bythe employee who is responsible for delivering the goods
Receiving Bythe employee who is responsible for receiving the goods
Requestor Institution the institution that is requesting the goods
Supplier Institutionthe institution suppling the goods.
Languagelanguage used

Create a Dispatch Order

Dispatch Orders  manage the inventory leaving a particular warehouse to supply the goods requested by a Goods/Services Request

To CREATE a Dispatch Order follow the steps below:

Navigation

  1. Click on the New icon   (you will then be in Insert Mode).
  2. Enter the new Dispatch Order information. Fields with an asterisk  are mandatory fields.
  3. The ID and the Dated Created will automatically generated.
  • ID: Unique identification code of the Dispatch Order.
  • Date Created: the date the dispatch order is created

4.   Enter the Delivery Expected Date and Delivered Date as required.

  • Delivery Expected Date: the date the delivery is expected to arrive. To enter the date, click on the Calendar iconand select the date.
  • Delivered Date: the date the order was delivered. To enter the date, click on the Calendar iconand select the date.

5.   The Dispatch Order Status will be automatically generated.

  • Dispatch Order Status: the current status of the dispatch order. For example Registered, Reserved, In Transit, Cancelled or Delivered.

6.   To enter the Delivery By, click on the Lookup icon ,  click on Find icon  to retrieve the Employee list, then select the Delivery By employee.

  • Delivery By:  the employee who is responsible for delivering the goods

7.    To enter the Receiving By, click on the Lookup icon ,  click on Find icon  to retrieve the Employee list, then select the Receiving By employee. 

  • Receiving By: the employee who is responsible for receiving the goods

8.   To enter the Requestor Institution, click on the Lookup icon ,  click on Find icon  to retrieve the Institution list, then select the Requestor Institution.

  • Requestor Institution: the institution that is requesting the goods

9.   To enter the Supplier Institution, click on the Lookup icon ,  click on Find icon  to retrieve the Institution list, then select the Supplier Institution.

  • Supplier Institution: the institution suppling the goods.

10.   Select the Language as required.

  • Language: language used

11.   Enter the Description and Remarks

Click on the Save icon  at the bottom of the Dispatch Order page to save your new Dispatch Order information.  A window will appear to confirm. Press OK

Delete a Dispatch Order

Dispatch Orders manage the inventory leaving a particular warehouse to supply the goods requested by a Goods/Services Request.

To DELETE a dispatch order follow the steps below:

Navigation

By default, you will be in Search Mode.

  1. Find the Dispatch Order you want to Delete
  • Enter the information to be used as retrieval criteria in the appropriate field(s)If you prefer to see all Dispatch Orders, leave all fields blank.
  • Click Find .
  • Select the Dispatch Order you want to Delete.
  1. Click on the Delete icon .
  2. A window will appear asking you to confirm                                                                                                                                                                                                                                                                                                                                                                                                                                                            
  3. Click OK to confirm and delete the Dispatch Order
  4. A window will be displayed confirming the Dispatch Order has been deleted                                                                                                                                                                            
     

To Verify that the Dispatch Order has been Deleted:

  1. Click on the Search icon
  2. Enter the Dispatch Order information in the appropriate field (s).
  3. Click on the Find icon
  4. This window will appear

Modify a Dispatch Order

Dispatch Orders manage the inventory leaving a particular warehouse to supply the goods requested by a Goods/Services Request.

To MODIFY a dispatch order follow the steps below:

Navigation

By default, you will be in Search Mode.

  1. Enter the information to be used as retrieval criteria in the appropriate field (s). If you prefer to see a list of all Dispatch Orders leave all fields blank.
  2. Click on the Find icon 
  3. Click on the Dispatch Order you want to modify. You will then be in Update/Delete Mode.
  4. Make the necessary modification(s).
  5. Click on the Update icon  at the bottom of the screen to save your modifications. A window will appear to confirm the modification. Click OK to confirm. 

Leasing/Purchase Comparison

Overview

Asset Leasing Purchase Comparison compares the option between buying and leasing an Asset. Users are able to enter purchase and lease information provided by a Vendor and a Leaser and compare this information for decision making purposes.

 

Navigation

Assets ► Leasing / Purchase Comparison

 

Leasing/Purchase Comparison screen Fields and Tab

Field

Description

ID

Unique identification code of the Leasing/Purchase Comparison

Comparison Date

The Comparison Date is automatically system generated. This displays the date and time the Asset Leasing Purchase Comparison is saved

Language

Language used

Abbreviation

The short form describing the Leasing/Purchase Comparison

Description

A short description of the Leasing/Purchase Comparison.

Remarks

Refers to comments regarding the Asset Leasing Purchase Comparison

Asset Class

Refers to the type of Asset

Useful Life

Its written in terms of years and its used in the calculation of depreciation. Useful Life is used for the asset leasing purchase comparison

Salvage Value

The salvage value is the expected value after the asset item has been fully depreciated

Average Annual Maintenance Cost

An estimated annual maintenance cost of the Asset Item

Insurance Annual Cost

An estimated insurance annual cost of the Asset Item. The insurance annual cost is optional because some Assets don’t require insurance

Capital Cost

Refers to the average loan rate per year. It will be used to calculate the NPV (Net Present Value)

Asset Item Price

Price of the Asset Item. It is part of the purchase information

Other Initial Purchase Cost

The cost incurred when the first purchase payment was made

Depreciation Method

Describes the decline in assets overtime

Payments per Year

Number of leasing payments per year

Leasing Term

Quantity of payments of the leasing contract

Leasing Fee

Refers to the leasing cost/charge

Other Initial Leasing Cost

The cost incurred when the first leasing payment was made

Security Deposit Amount

The amount paid for a security deposit. Some leasing contracts require it and some don't

Is Security Refundable?

It indicates if the security deposit amount is refundable at the end of the lease term

Responsible for Maintenance?

When checked the user will be responsible for the maintenance costs during the term of the leasing contract

Responsible for Insurance?

When checked the user will be responsible for the insurance costs during the term of the leasing contract

Buy Option?

When checked the the user will buy the asset at the end of the leasing contract

Option to Buy Price

The price to buy the asset at the end of the leasing contract

 

Attachments

Overview

The information regarding the attachment. It further contains the description of the attachment or additional information not included in the uploaded document can be included here.

 

Attachment Tab screen Fields

Field

Description

ID

Unique identification code manually entered by users or automatically generated based on parameters.

Selected

If checked indicates that the attachment will be selected.

Language

Country Specific Language used to enter the description information.

Title

Title of attachment uploaded.

Description

Any description of the attachment or additional information not included in the uploaded document can be included here.

Attachment

The uploaded document, this attribute will have the physical file document within the database.

Date Time

The date and time the attachment was uploaded or Date and Time of the last operation performed on the attachment document. Visible for the user. Automatically assigned.

User

Users uploading the attachment.

Language

Country Specific Language used to enter the description information.

 

Count Requests

Overview

This contains the general information for the Asset Count Request such as the employee responsible for the request, the date that the request was issued and the status of the request.

 

Navigation 

Assets ► Asset Count Request

 

Count Requests screen Fields and Tabs

Field

Description

ID

 Unique identification code, manually entered by users or automatically generated based on parameters.

Request Start Date

 Date and time when the Asset Count Request was submitted.

Asset Count Request Status

 Select from ‘Created’, ‘In Progress’, ‘Cancelled’, ‘Finished’, ‘In Reconciliation’, ‘Approval Requested’, ‘Approved’.

Request Responsible Employee

 Employee responsible for handling the request.

Language

 Language used to register the description and abbreviation.

Description

 Description of the Asset Count Request.

Abbreviation

 Short form for the Asset Count Request.

Asset Items in Count Tab

 This tab allows users to select which assets to include in this count request.

Users Authorized for Reconciliation Tab

 Allows users that request the count to authorize users (employees) to view the reconciliation.

 

Assets Report

Asset Reports are used to monitor and manage the processes involved with the assets which have been purchased, sold, and currently being stored in the inventory at the warehouse.

Asset Reports can perform these functions:

- Classifies assets by user-designated groups, with subtotaling and totaling of an overall value

- Identifies each item for which depreciation is to be taken including cost, life and depreciation schedule

- Records depreciation for external reporting

- Provides standard governmental reporting: i.e., it should not include information such as investment tax credit data or basis costs

- Tracks all transactions affecting the value of an asset by original source document number and date, and the module and application in which the transaction originated

- Maintains accountability and reporting of fixed assets that have actually been granted to, or owned by, another screen

- Displays or print subsidiary ledgers of fixed asset balances

- Produces a transaction register audit trail of all acquisitions, transfers, changes, retirements, and disposals during a user-defined time period by asset type, department, transaction date, funding source, or purchase amount

- Provides a money total of fixed asset purchases by their funding source and department/organization

- Reports assets due for disposition, based on the scheduled disposal date

- Provides a vendor/PO listing of assets by vendor or in purchase order number sequence

- Produces a deletion report showing items by asset type which have physically been disposed of but still remain on file for information purposes

- Produces a listing of all inactive/idle or retired assets by location and asset category

- Produces a listing of all disposed assets showing any gains or losses and the associated account coding

- Produces a listing of all disposed assets showing any gains or losses and the associated account coding

- Produces a forecast of assets scheduled for replacement, based on user-specified criteria, such as useful life, scheduled disposition date, or odometer readings

- Allows reporting and inquiry of replacement cost by department or organization unit and by asset type

- Produces depreciation reports by cost-center

- Produces a depreciation report by balance sheet category, such as buildings and equipment

- Produces a report of assets by: Asset Type, Fund, Division, Cost Center, Decision Unit and Vendor

- Prints reports to support taking of physical inventory by division and/or location

Below you will find a list of all Asset Reports used during the Asset Management Process.

Asset Contract Report

Overview

The Asset Contract Report displays the list of Contracts related to an Asset Item such as Leasing, Maintenance, and Support Contracts.

 

Navigation

Assets ► Asset Reports ► Asset Contract Report

 

Asset Contract Report screen Field

Field

Description

Asset Item

The asset item to be used as filter criteria for the asset contract report.

 

Asset Catalogue Report

Overview

This report displays the complete repository of Assets. It contains information of each Asset Item such as ID, Short Description, Brand, Model, Type (Capitalized, Expensed, CIP, etc.), Serial Number, Bar Code, etc.It includes the General List of Items, Items by Class, Items by Group, Items by Institution, and Items by Region.

 

Navigation 

Assets ► Asset Reports► Asset Catalogue

 

Asset Catalogue Report Screen Fields

Field

Description

Group By

Used to group the report by Asset Class

Filter Criteria

Filter Criteria as entered under the Asset Catalogue Report

Asset Group

The Asset Group that may be selected as filter criteria for the report

Asset Type

The Asset Type that may be selected as filter criteria for the report

Ownership Type

The Ownership Type that may be selected as filter criteria for the report.

Physical Condition

The Physical Condition that may be selected as filter criteria for the report.

Operational Status

The Operational Status that may be selected as filter criteria for the report.

Asset Item Status

The Asset Item Status that may be selected as filter criteria for the report.

Asset Class

The Asset Class that may be selected as filter criteria for the report

Brand

The Brand that may be selected as filter criteria for the report

Institution

The Institution that may be selected as filter criteria for the report

Region

The Region that may be selected as filter criteria for the report.

EmployeeThe Custody Employee that may be selected as filter criteria for the report.
Goods Receive Return NoteThe GRN id that may be selected as filter criteria for the report.
ItemCatalogue Item Reference that may be selected as filter criteria for the report.
Project AssociatedThe Project associated that may be selected as filter criteria for the report.
Specific SourceThe Project source that may be selected as filter criteria for the report.

 

Asset Detailed Information Report

Overview

The Asset Detailed Information Report displays the detailed information for an asset, such as Class, Ownership Type, Manufacturer, etc.

 

Navigation 

Assets ► Asset Reports► Asset Detailed Information

 

Asset Detailed Information Report Screen fields

Field

Description

Item Id

Filter option to generate the report for a specific Item Id.

Asset ClassFilter option to select type of class.
Original value FromRange of original value.
Original value ToRange of original value.
EmployeeThe Custody Employee that may be selected as filter criteria for the report.
ItemCatalogue Item Reference that may be selected as filter criteria for the report.
Project AssociatedThe Project associated that may be selected as filter criteria for the report.
Specific SourceThe Project source that may be selected as filter criteria for the report.
Asset Item OriginDrop down to select origin of asset item.
Current value FromRange of current value.
Current value ToRange of current value.

 

Assignments By Employee Report

Overview

The Asset Assignments by Employee Report displays the List of Assets assigned to an Employee.

 

Navigation 

Assets ► Asset Reports► Assignments by Employee

 

Assignments By Employee Report screen Fields

Field

Description

Employee

Filter option to generate report for a specific Employee.

 

Assignments By Vendor Report

Overview

This report shows the List of Assets provided by a Vendor.

 

Navigation 

Assets ► Asset Reports ► Assignments By Vendor Report

 

Assignments By Vendor Report screen Fields

Field

Description

Comparison Id

Filter option to generate report for a specific Comparison Id.

 

Acquisition Analysis Reports

Overview

This report displays the acquisitions by comparing purchased versus leased options. The report displays the cost values for the both options such as Purchase Payments, Leasing Payments, Maintenance Costs, Insurance Costs, Depreciation, Total Costs, and NPV (Net Present Value) Total Costs.

 

Navigation 

Assets ► Asset Reports ► Acquisition Analysis

 

Acquisition Analysis Reports screen Fields

Field

Description

Comparison Id

Filter option to generate report for a specific Comparison Id.

 

Assets by Operational Status Report

Overview

This report displays a List of Assets by Operational Status (in stock, in use, disposed, etc.). It contains the following information for each Asset: ID, Short Description, Catalogue Item ID, Operational Status, Date of Change of Operational Status, and Transaction ID.

 

Navigation

Assets ► Asset Reports ► Assets by Operational Status

 

Assets by Operational Status screen fields

Field

Description

Item Group

The Item Group that may be selected as filter criteria for the report.

Item Physical Condition

The Item Physical Condition that may be selected as filter criteria for the report.

Operational Status

The Operational Status that may be selected as filter criteria for the report.

Item Ownership Type

The Item Ownership Type that may be selected as filter criteria for the report.

Item Type

The Item Type that may be selected as filter criteria for the report.

Item Status

The Item Status that may be selected as filter criteria for the report.

Class

The Class that may be selected as filter criteria for the report.

Brand

The Brand that may be selected as filter criteria for the report.

Region

The Region that may be selected as filter criteria for the report.

Institution

The Institution that may be selected as filter criteria for the report.

 

Transactions Per Asset Report

Overview

This report displays information related to the transaction history of an Asset for audit trail purposes.

 

Navigation

Assets ► Asset Reports ► Transactions per Asset

 

Transactions Per Asset Report screen Fields

Field

Description

Item Id

Filter option to generate report for a specific Item Id

Credit Account

The Credit Account that may be selected as filter criteria for the report.

Debit Account

The Debit Account that may be selected as filter criteria for the report.

Origin

The Origin that may be selected as filter criteria for the report.

Status

The Status that may be selected as filter criteria for the report.

 

Transfers Per Asset Report

Overview

This report displays information related with the transfer’s history of an Asset. These transfers refer to when Assets are physically moved to another Warehouse Institution, or when Coding Blocks for any of accounts associated to the Assets needs to be changed.

 

Navigation

Assets ► Asset Reports ► Transfers per Asset

 

Transfer by Asset Report screen fields

Field

Description

Item ID

Filter option to generate report for a specific Item Id.

Transfer Type

The type of transfer that is occurring for the asset, to be selected from the list and used as filter criteria.

 

Custodies Per Asset Report

Overview

This report displays information related to the custodies history of an Asset. Custody occurs with the association of an Asset Item to an Employee. This is distinct from the ‘Assignments by Employee Report’, which highlights assets that are actively assigned to employees. On the contrary, this report presents the history of an asset’s custody. As such, this report can be filtered to show anyone who has ever owned a given asset.

 

Navigation

Assets ► Asset Reports ► Custodies per Asset

 

Custodies per Asset Report screen Fields

Field

Description

Item Id

Filter option to generate report for a specific Item Id.

Custody Type

The type of custody that is occurring for the asset, to be selected from the list and used as filter criteria.

 

Warehouse Asset Transfers Report

Overview

This report displays the Assets Transfers between different Warehouses. The report displays the following information: Asset ID, Asset Short Description, Asset Coding Block, Units, Transfer ID, Transfer Date, Source Warehouse, and Destination Warehouse.

 

Navigation

Assets ► Asset Reports ► Warehouse Asset Transfers

 

Warehouse Asset Transfer Report screen Fields

Field

Description

Institution

The Institution that may be selected as filter criteria for the report.

Asset ID

The Asset ID that may be selected as filter criteria for the report.

Transfer ID

The Transfer ID that may be selected as filter criteria for the report.

Source Warehouse ID

The Source Warehouse ID that may be selected as filter criteria for the report

Destination Warehouse ID

The Destination Warehouse ID that may be selected as filter criteria for the report

 

Asset Transactions Report

Overview

This report displays information on all of the Transactions related to an Asset. Each transaction displays basic information such as Date, ID, Asset Item ID, Asset Short Description, Transaction Status, Amount, etc.

 

Navigation

Assets ► Asset Reports ► Asset Transactions Report

 

Asset Transactions Report screen Fields

Field

Description

Transaction Origin

The Transaction Origin that may be selected as filter criteria for the report.

Transaction Status

The Transaction Status that may be selected as filter criteria for the report.The Transaction Status that may be selected as filter criteria for the report.

Asset Item Type

The Asset Item Type that may be selected as filter criteria for the report.

Asset Item Group

The Asset Item Group that may be selected as filter criteria for the report.

Asset Item

The Asset Item that may be selected as filter criteria for the report.

Institution

The Institution that may be selected as filter criteria for the report.

Region

The Region that may be selected as filter criteria for the report.

Asset Class

The Asset Class that may be selected as filter criteria for the report.

 

Count Reports

Asset Count Worksheet Report

Overview

This report displays Asset Items related to an Asset Count Request. This report is used when the physical inventory stock is being processed. It contains information of each Asset Item such as ID, Short Description, Brand, Model, Serial Number, Bar Code, etc.

NOTE: Some columns in this report are blank to that stock counts can be manually noted in the field.

 

Navigation

Assets ► Assets Reports ► Count Report Asset Count Worksheet

 

Asset Count Worksheet screen Fields

Field

Description

Report Date

Date of report generation automatically generated by system.  The date format is defined using a general parameter of the system.

Report Time

Time of report generation automatically generated by system.

User

User who generates the report

Page

Page Number

Filter Criteria

Filter Criteria as entered under asset class

Sort By

Used to sort the report by class (alphabetical) and Warehouse ID (upward).

Class Item

A class item must belong to a class which will define its basic characteristics and determine exactly what type of asset is. A computer may be an asset class but can also be a parent class for a Desktop or Laptop computer class.

Warehouse ID

A warehouse is a physical space used specifically for the storage of inventory and fixed assets. The warehouse can storage new and used fixed assets, including usable and unusable damaged or broken assets. Damaged or broken assets should be retired from a warehouse until a disposal transaction has been issued.  It is allowed to perform transfers of Assets or Inventory items between warehouses. Warehouse ID is a unique identifier of a Warehouse.

Asset Item ID

A unique asset item identifier. 

Short Description

Brief description of the Asset Item

Brand and Model

A collection of the different models represented by a particular brand E.g. Dell (Brand), Inspiron (Model)

Serial Number

A system generated identification code that is tagged with the asset item. 

Bar Code

Contains the code recognized by the bar code reader

Quantity

Default value is 1, this attribute can be used to group identical assets (e.g. Software Licenses) but if any of the units is retired or disposed the current cost gets prorated based on the number of units left generating a new value change transaction

Quantity Found

It represents the quantity found during the physical inventory.Warehouse ID Found: It represents the Warehouse ID found.

Remarks

Additional information regarding the Asset Item about its condition, advice to take a decision on an asset item withdrawal, reason for differences, etc.

Reason for Difference

Catalogue of reasons that supports the Asset Item in Count or Asset Item in Count Component Status (whenever there is overage and/or shortage). It is used for reporting and statistics.

 

Asset Count Variances Report

Overview

This report shows Asset Items pertaining to an Asset Count Request, which have quantity and amount variances. This report is used during the physical inventory stock take process. It contains information of each Asset Item such as ID, Short Description, Brand, Model, Serial Number, Bar Code, Quantity, Quantity Found, etc.

 

Navigation 

Assets ► Asset Reports ► Count Reports ► Asset Count Variances Report

 

Asset Count Variances Report screen Fields and Tab

Field

Description

Asset Count Request

The Asset Count Request is selected as a filter criteria for the report.

Institution

The Institution is  selected as a filter criteria for the report

Institution Warehouse

The Institution Warehouse is selected as a filter criteria for the report.

Asset Class

The Asset Class is selected as a filter criteria for the report

Asset Item

The Asset Item is selected as a filter criteria for the report

Report Date

Date of report generation automatically generated by the system

Report Time

Time of report generation automatically generated by the system

User

User who generates the report

Page

Page Number

Asset Count Request

The number describing which request is taking place

Filter Criteria

Filter Criteria as entered under the Asset Count Variances Report

Sort By

Used to sort the report by Class (alphabetical) and Warehouse ID (upward) criteria

Institution

The user's institution (e.g. Ministry of Finance)

Class

The class of asset described

Level

Level of class asset

Number of Items

Number of items specified for the asset class

Warehouse ID

The identification number of the warehouse

Asset Item ID

The identification number of the asset item

Short Description

Brief description of the asset item

Brand and Model

Model number and company brand of the asset item

Serial Number

The serial number of the asset item

Bar Code

The bar code number of the asset item

Quantity

The quantity that is  on hand

Quantity Found

The actual quantity that is on hand

Warehouse ID Found

The identification number found for the warehouse

Reason for Difference

Description for why a difference occurred

Status

Status of the difference (e.g. Shortage, Overage, etc.)

Quantity Difference

Difference between Quantity and Quantity Found

Value Difference

The difference in surplus or deficit amounts based on the difference between Quantity and Quantity Found

Total Shortage

The monetary shortage value of all shortage values added together

Total Overage

The monetary overage value of all overage values added together

 

Conflicts in Count Warehouse/Employee Report

Overview

This report displays Asset Items which have conflict with their Institution, Warehouse Institution, or Employee—that is to say, this report display's Asset Items that are inconsistently listed in relation to Institutions, Warehouses, etc. This report is used during the physical inventory stock take process. It contains information of each Asset Item such as ID, Short Description, Brand, Model, Serial Number, Bar Code, Warehouse ID, Employee ID, Institution ID Found, Warehouse ID Found, Employee ID Found, etc.

 

Navigation 

Assets ► Asset Reports ► Count Reports ► Conflicts in Count Warehouse/Employee Report

 

Conflicts in Count Warehouse/Employee Report screen fields and Tab

FieldDescription
InstitutionThe Institution is selected as a filter criteria for the report
Warehouse IDThe Warehouse ID is selected as a filter criteria for the report
Asset Count RequestThe Asset Count Request is selected as a filter criteria for the report.
Asset Item IDThe Asset Item ID is selected as a filter criteria for the report
Employee IDThe Employee ID that is selected as a filter criteria for the report.
ClassThe Class that isselected as a filter criteria for the report
Report DateDate of report generation automatically generated by the system
Report TimeTime of report generation automatically generated by the system
UserUser who generates the report
PagePage Number
InstitutionThe user's institution (e.g. Ministry of Finance)
Filter CriteriaFilter Criteria as entered under the Asset Count Warehouse/Employee Conflict Report
Sort ByUsed to sort the report by Class (alphabetical) and Warehouse ID (upward) criteria
ClassThe class description of the catalogue asset item listed in the report
LevelThe level of functions associated and attached to a hierarchy of connected items
Number of Items

The number of catalogue asset items listed in a specific report

Warehouse IDThe identification number of the warehouse
Employee IDThe identification number of the employee
Asset Item IDThe identification number of the asset item
Short DescriptionBrief description of the asset item listed in the report
Brand and ModelModel number and company brand of the asset item listed in the report
Serial NumberThe serial number of the asset item listed in the report
Bar CodeThe bar code number of the asset item listed in the report
QtyThe actual quantity that should be present in the warehouse
Qty FoundThe quantity of asset items found in the warehouse
Institution ID FoundThe identification number of the institution that the asset item is found at.
Warehouse ID FoundThe identification number of the warehouse that the asset item is found at.
Employee ID Found

The identification number of the employee that found the asset item

StatusStatus of the asset item (Shortage, Overage, Found).

 

Valuation Reports

Asset Valuation Report

Overview

This report displays information related to the Valuation of an Asset.

 

Navigation

Assets ► Asset Reports ► Valuation Reports ► Asset Valuation Report

 

Asset Valuation Report screen fields

Field

Description

Item ID

The Item ID that may be selected as filter criteria for the report.

Transaction Origin

The Transaction Origin that may be selected as filter criteria for the report.

Transaction Status

The Transaction Status that may be selected as filter criteria for the report.

Transaction Date From

The Transaction Date From that may be selected as filter criteria for the report.

Transaction Date To

The Transaction Date To that may be selected as filter criteria for the report.

Sort By

Transaction Date sort by option to arrange report according to transaction date.

Transaction Type Tab

Transaction Type tab allows to lookup and insert the value of Asset Transaction Type to generate the transaction type wise report.

 

Assets Valuation By Asset Class And Institution Report

Overview

The valuation of an asset item can be done in terms of asset class as well as institution. This is the role of this report. The report shows the following fields mentioned mandatorily Original Value, Value Change, Disposal, etc.

 

Navigation

Assets ► Asset Reports ► Valuation Reports ► Assets Valuation By Asset Class And Institution

 

Assets Valuation by Asset Class and Institution Filter Definitions

Field

Description

Asset Class

The Asset Class that may be selected as filter criteria for the report.

Fiscal Year

The Fiscal Year that may be selected as filter criteria for the report.

Fiscal Period

The Fiscal Period that may be selected as filter criteria for the report.

Effective date from

The Effective Date that may be selected as filter criteria for the report.

Effective date to

The Effective Date that may be selected as filter criteria for the report.

Original Value from

The Original Value From that may be selected as filter criteria for the report.

Original value to

The Original Value To that may be selected as filter criteria for the report.

Group individual Institutions

The Group Individual Institutions that may be selected as filter criteria for the report.

Group by Institution type

The Group By Institution Type that may be selected as filter criteria for the report.

Institution

The institution responsible for filing the report.

Sort by

Order of which the items are sorted by

Asset Item physical condition

Select Asset Item from the available Physical condition options.

 

 

 

Current Valuation Report

Overview

This report shows valuation information generated in terms of asset grouping by asset class,   asset group, region, and by warehouse institution. This valuation is based on the sum of Current Values of each asset inside each institution or warehouse.

 

Navigation

Assets ► Asset Reports ► Valuation Reports ► Current Valuation Report

 

Current Valuation Report output screen fields

Field

Description

Report Type

The Item ID as a filter criteria for the report.

Asset Class

The Asset Class selected as  afilter criteria for the report

Asset Group

The Asset Group  selected as a filter criteria for the report.

Brand

The Brand  selected as a filter criteria for the report

Group By

Used to group the report by Asset Class

Group Individual Institutions

Grouping of Institutions individually

Group By Institution Type

Grouping facility by type of the institution

Region Tab

Describes about Region

Report Date

Date of report generation automatically generated by the system.

Report Time

Time of report generation automatically generated by the system

User

User who generates the report

Page

Page Number

Filter Criteria

Filter Criteria as entered under the Assets Current Valuation By Coding Block.

Sort By

Used to sort the report by Institution ID (upward).

Group By

Used to group the report by Asset Class

ID

Unique identification number for a particular asset item

Asset Class Name

Short Description or name of the type of asset class. 

Current Value

The value after depreciation changes have occurred

Original Value

This is the value paid for the asset, depending on the acquisition information, this could be an estimated price or fair cost if the asset has been obtained by a donation, bequest or sequestration.This value cannot be modified once the first depreciation period has occurred for this item.

Depreciation

The reduced value amount from the Original Value

Book Value

Reflects the cost of the Asset from the accounting perspective. The book value  differs  from the original cost depending on the value change transactions that affected the asset.

 

General Assets Detailed Per Institution Report

Overview

Detailed information for each asset item in form of a report is presented here. It shows the asset item grouped in terms of its institution. Thus the report can be filtered in accordance to the different institution as per choice of the users. By default the report is sort by Asset Institution Name (Institution group) ascending and then by Asset Item ID.

 

Navigation

Assets ► Asset Reports ► Valuation Reports ► General Assets Detailed Per Institution Report

 

General Assets Detailed Per Institution Filter Definitions

Field

Description

Comments

The Comments that may be selected as filter criteria for the report

Group individual Institutions

The Group Individual Institutions that may be selected as filter criteria for the report.

Group By Institution Type

The Group by Institution Type that may be selected as filter criteria for the report

 

 

Historical Valuation Report

Overview

This report shows the Assets Historical Valuation (specific point in time) grouped by Asset Classes, Asset Groups within an Institution. The report shows the following Amounts: Original Value, Value Change, Depreciation, Disposal, and Book Value

 

Navigation

Assets ► Asset Reports ► Valuation Reports ► Historical Valuation Report

 

Historical Valuation Report screen fields and Tab

Field

Description

Report Type

Type of the Report. i.e. Summary or Detailed 

Asset Class

The Asset Class that may be selected as filter criteria for the report

Effective date from

The Effective Date that may be selected as filter criteria for the report.

Effective date to

The Effective Date that may be selected as filter criteria for the report.

Fiscal Year

The Fiscal Year that may be selected as filter criteria for the report

Fiscal Period

The Fiscal Period that may be selected as filter criteria for the report.

Group by

Used to group the report by Asset Class

Group by Institution type

The Group By Institution Type that may be selected as filter criteria for the report.

Group individual Institutions

The Group Individual Institutions that may be selected as filter criteria for the report.

Institution

The institution responsible for filing the report

Sort by

Order of which the items are sorted by

Asset Item physical condition

Users need to select available asset item physical condition to generate the report.

 

Act Auction of Assets

Overview

This report allows us to make the generation of the minutes of the selected auction, showing the goods were awarded.

 

Navigation

Assets ► Asset Reports ► Act Auction of Assets

 

Act Auction of Assets Report screen Field

 

FieldDescription
InstutionInstitution used as a filter criteria for this report.
Mode Auction Mode Auction used as a filter criteria for this report.
Register Of AuctionRegister Of Auction used as a filter criteria for this report.

 

Act Of Asset Item On Custody Report

Overview

Shows the list of assets assigned to an employee. The report contains basic information of each Asset such as ID, Short Description, Brand, Type (Capitalized, Expensed, CIP, etc), Bar Code, etc.

Navigation

Assets ► Asset Reports ► Act Of Asset Item On Custody Report

Act Of Asset Item On Custody Report screen Field

FieldsDescription
EmployeeLookup to select Employee as filter criteria for this report.
InstitutionFilter to select Institution hierarchy for this report.

 

Asset Transaction per Asset Detailed

Overview

This report shows information related with the transactions history of an Asset.

 

Navigation

Assets ► Asset Reports ► Asset Transaction per Asset Detailed

 

Asset Transaction per Asset Detailed screen Fields
 

FieldsDescription
Transaction OriginThe Transaction Origin that may be selected as filter criteria for the report.
Transaction StatusThe Transaction Status that may be selected as filter criteria for the report.
Asset Origin IDAsset Origin ID that may be selected as filter criteria for the report.
From DateFrom Date that may be selected as filter criteria for the report
 To DateTo Date that may be selected as filter criteria for the report.
Asset TypeThe Asset Item Type that may be selected as filter criteria for the report.
Asset InstitutionThe Institution that may be selected as filter criteria for the report.
Asset Warehouse InstitutionAsset Warehouse Institution that may be selected as filter criteria for the report.
Asset RegionThe Region that may be selected as filter criteria for the report.
Asset ClassThe Asset Class that may be selected as filter criteria for the report
Asset Transaction IDAsset Transaction ID that may be selected as filter criteria for the report
Asset ItemLookup to select one or more asset items as filter criteria
Transaction TypeThe report of Asset Transaction per Asset Detailed by asset transaction type may be sorted/narrowed down by selecting Vendor(s) as a filter criteria, limiting the output data.

 

Barcode File Report

Overview

Download bar code corresponding to the Asset Item in a text format (.txt) document.

Navigation

Assets ► Asset Reports ► Barcode File Report

 

Barcode File Report screen Fields

FieldsDescription
InstitutionLookup to select Institution as filter criteria for the report.
WarehouseLookup to select Warehouse as filter criteria for the report.
EmployeeLookup to select Employee as filter criteria for the report.
Asset CLassLookup to select Asset Class as filter criteria for the report.
ItemLookup to select Item as filter criteria for the report.
BarcodeBarcode that may be selected as filter criteria for the report.
RegionLookup to select Region as filter criteria for the report.
Asset Item TagAsset Item Tag From and To filter criteria for the report.

 

INJUPEMP Reports

Inventory Sheet Report

Overview

Inventory Sheet to keep track all the assets that are under custody of any employee.
 
Navigation
 
Assets ► Asset Reports ► INJUPEMP Reports ► Inventory Sheet Report
 
Inventory Sheet Report Screen Fields
FieldsDescription
EmployeeLook up button, Allows user to select employee.

Other Reports

Catalogue Item Classification List Report

Overview

This report shows the Classification List of the Catalogue Item. It can be by Category or Class because the system has these two types of classification. The report contains the following information of each Classification Item: ID, Name, and Level. The report can be filtered by Level, this allows to the user to choose until what level he/she wants to include in the report.

An example of the report is shown below.

Navigation

Definition of Report Fields

The Catalogue Item Classification List Report includes the following fields:

Report FieldsDescription
Report Date

Date of report generation automatically generated by the system

Report Time

Time of report generation automatically generated by the system

UserUser who generates the report
PagePage Number
TypeThe type that the Catalogue Item Classification List Report is designated to. For example, this report is defined by category
Sort ByUsed to sort the report by Category ID (upward)
Category IDThe identification number of the category
Category Short DescriptionThe description of the assets in the inventory category
LevelThe level of functions associated and attached to a hierarchy of connected items

Generation of the Report

The Catalogue Item Classification List Report shows the Classification List of the Catalogue Item.

To GENERATE this report, follow the steps below:

Navigation

The Catalogue Item Classification List Report includes the following filter criteria available for the report:

  • Group By: Select a Group By value from the drop-down menu
  • Level: The level of functions associated and attached to a hierarchy of connected items
  • Sort By - Click the ,,  icons to add and remove filter criteria to / from the selected list and click the , , ,  icons to move the items in the selected list up and down to put them in the desired order of appearance
  • Sort the Catalogue ID by the preferred ascending and descending order using the red arrow icon.

If all filter criteria are left blank, all Levels will be included in the Report.

The report can be exported in HTML, PDF, MS Excel, RTF and MS Word formats, prior to printing, using the , , , , and  icons.

Catalogue Item By Priority Report

Overview

This report shows a list of the Catalogue Items grouped by Priority (High, Medium, Low). It contains the following information of each Catalogue Item: Catalogue Item ID, Item Short Description, Item Type (Good or Service), Unit of Measure – UOM, Stock Item (Yes or No), Item Class, and Default Account. The following filters are available: Priority, Item Type, Stock Item, and Item Class.

An example of the report is shown below.

Navigation

Definition of Report Fields

The Catalogue Item By Priority Report includes the following fields:

Report FieldsDescription
Report Date

Date of report generation automatically generated by the system

Report Time

Time of report generation automatically generated by the system

User

User who generates the report

PagePage Number
Filter CriteriaFilter Criteria as entered under the Catalogue Item By Priority Report
Sort ByUsed to sort the report by Priority (downward) and Catalogue ID (upward)
PriorityThe level of importance of a specific report
Number of ItemsThe number of asset items listed in a specific report
Cat. Item IDThe identification number of the category item
Short DescriptionThe description of the asset item
TypeThe type of inventory item. For example, a good or a service
UOMThe classification for measurement of the catalogue item
StockDefines whether an inventory item is or is not in stock (Yes if in stock, No if not in stock)
Item ClassDefines basic characteristics of the inventory item
Default AccountIf an element is defined in the object segment of the chart of accounts, this code will be used as part of the coding block when issuing a purchase order or purchase requisition that includes this particular item

Generation of the Report

The Catalogue Item By Priority Report shows a list of the Catalogue Items grouped by Priority (High, Medium, Low).

To GENERATE this report, follow the steps below:

Navigation

The Catalogue Item By Priority Report includes the following filter criteria available for the report:

  • Priority - Click the ,,  icons to add and remove priority definitions to / from the selected list.
  • Stock - Click the stock checkmark to define whether the catalogue item is in stock or not in stock.
  • Item Type - Select an Item Type from the drop-down menu.
  • Item Class - Item Class unit (optional parameter) that can be selected using the Lookup icon , and Find icon  to retrieve the Item Class unit. If selected, the report will include the selected Item Class unit and all Item Class units below the selected unit. Refer to Item Class for more information.
  • Sort By - Click the ,,  icons to add and remove filter criteria to / from the selected list and click the , , ,  icons to move the items in the selected list up and down to put them in the desired order of appearance
  • Sort the Cat. Item ID, Short Description, Item Type, UOM, Stock, Item Class, and Default Account by the preferred ascending and descending order using the red arrow icon.

If all filter criteria are left blank, all Stocks, Item Types, and Item Classes will be included in the Report, as well as the Item Classes allowed by the report user security profile.

The report can be exported in HTML, PDF, MS Excel, RTF and MS Word formats, prior to printing, using the , , , , and  icons.

Material Dispatch Report

Overview

This report displays a list of the Material Items (Inventory Items) dispatched by Warehouse Suppliers to Institution Units. It contains information of each Dispatched Item such as Dispatch Order ID, Catalogue Item ID, Item Short Description, Quantity, Total Cost, Dispatch Order Status, Issue Date, Warehouse Supplier, and Institution Unit to Deliver

 

Navigation

Inventories ► Reports ► Other Reports ► Material Dispatches

 

Material Dispatches Report Filter Fields

Field

Description

Warehouse Supplier

Users can lookup and select a Warehouse Supplier as filter criteria for the Material Dispatches Report.

Institution Unit to Deliver

Users can lookup and select an Institution Unit to Deliver as filter criteria for the Material Dispatches Report.

Catalogue Item

Users can lookup and select a Catalogue Item as filter criteria for the Material Dispatches Report.

Dispatch Order

Users can lookup and select a Dispatch Order as filter criteria for the Material Dispatches Report.

Delivery Responsible Employee

Users can lookup and select a Delivery Responsible Employee as filter criteria for the Material Dispatches Report.

Employee who Received

Users can lookup and select an Employee who Received as filter criteria for the Material Dispatches Report.

Request ID

Users can lookup and select a Request ID as filter criteria for the Material Dispatches Report.

Dispatch Order Status

Filter Criteria to filter the report by the Dispatch Order status of the items.

Issue Date

Users can use begging and end date that the Inventory issue was made.

Sort By

Click the “Move Selected Item”, “Move All Item”, “Remove Selected Item”, “Remove All Item” icons to add and remove filter criteria to / from the selected list and click the “Move Selected Item to Top of List”, “Move Selected Item up one in List”, “Move Selected Item down one in List”, “Move Selected Item to Down of List” icons to move the items in the selected list up and down to put them in the desired order of appearance.

Dispatch Order

By the preferred ascending and descending order using the Red Arrow icons.

 

Material Requests Status Report

Overview

This report shows the status of the Material Requested to a Supplier Warehouse. It contains information of each Request such as Request ID, Status, Issue Date, Priority, Quantity of Items Required, Quantity of Items Fully Supplied, Quantity of Items Not Fully Supplied, Institution Unit that requires, etc.

Some filters are available such as Request ID, Status (Delivered, In Supply Process, etc), Issue Dates Range, Priority, Institution Unit that requires, etc.

This report is oriented to the Warehouse Responsible or Warehouse Supervisors.

An example of the report is shown below.

Navigation

Definition of Report Fields

The Status Material Requested includes the following fields: 

Report Date

Date of report generation automatically generated by the system

Report Time 

Time of report generation automatically generated by the system

User 

User who generates the report

Filter Criteria Filter Criteria as entered under the stAtus material requested.
Sort by Used to sort the report by Request ID (downward) 
Request ID Identification number of the request made. 
Replenishment Enables the responsible warehouse to automatically generate the G/S request from Inventory Items. 
Status A selectable list is available for required statuses. 
Issue Date Date the request is issued. 
Max Required Date 
The maximum required date to receive the goods/services.
Priority A selectable list is available which includes three priorities: Low, Medium and High 
Quantity of Item Quantity of Required, Fully Supplied and Not Fully Supplied requested materials 
Required Institution Unit This is the institution unit that requires the goods/services. 
Page Page number of report. 

Generation of the Report

This report shows the status of the Material Requested to a Supplier Warehouse.

To GENERATE, follow the steps below:

Navigation

The Asset Count Variances Report includes the following filter criteria available for the report:

  • Replenishment: If checked, the responsible warehouse automatically generates the G/S request from Inventory Items. 
  • Issue Date From: The date the generation report is being issued from (optional) can be selected from the Calendar icon.
  • Issue Date To: The date the generation report is being issued to (optional) can be selected from the Calendar icon.
  • Max Req Date From: The maximum required date from (optional) can be selected from the Calendar icon.
  • Max Req Date To: The maximum required date to (optional) can be selected from the Calendar icon.
  • Request ID: The request ID (optional) can be selected using the Lookup icon , and Find icon  to retrieve the request ID. Refer to Goods/Services Request for more information.
  • Supplier Warehouse: The supplier warehouse (optional) can be selected using the Lookup icon , and Find icon  to retrieve the supplier warehouse. Refer to Institution for more information.
  • Institution Unit: The institution unit (optional) can be selected using the Lookup icon , and Find icon  to retrieve the institution unit. Refer to Institution for more information.
  • Priority: can be selected from the Drop Down Menu.
  • Status: can be selected from the Drop Down Menu.
  • Sort By - Click the ,,  icons to add and remove filter criteria to / from the selected list and click the , , ,  icons to move the items in the selected list up and down to put them in the desired order of appearance
  • Sort the different Levels by the preferred ascending and descending order using the Red Arrow icons.

If all filter criteria are left blank, all Levels will be included in the Report.

The report can be exported in HTML, PDF, MS Excel, RTF and MS Word formats, prior to printing, using the , , , , and  icons.

Philippines Reports

Asset Disposal Summary Report

Overview

This report shows summary of disposed asset.

 

Navigation 

Assets ► Asset Reports ► Philippines Reports  Asset Disposal Summary Report

 

Asset Disposal Summary Report Screen fields

FieldsDescription
Fiscal YearUsers selects Fiscal Year to filter transaction period. This filter parameter is mandatory.
From DateFrom date filter, specifies the starting date of transactions to filter.
To DateTo date filter, specifies the end date of transactions to filter.
OrganizationAllows selection of concept in the "Organization" segment of CoA and element code for the concept selected, mandatory filter criteria.
Transaction ClassFixed filter value, users can not change the filter parameter.
Asset Item TabLookup function for Multiple asset item bar code selection. Non mandatory filter.
Asset Transaction Type TabLookup function for Multiple asset transaction type selection. Non mandatory filter.

 

Asset Item Custody Transfer Log Report

Overview

This report shows custody transfer of an asset to number custodian over a particular period of time.

Navigation 

Assets ► Asset Reports ► Philippines Reports  Asset Item Custody Transfer Log Report

 

Asset Item Custody Transfer Log Report Screen fields

FieldsDescription
Fiscal YearUsers select Fiscal Year as filter criteria for the transfer transactions.
From DateFrom date filter, specifies the starting date of transfers to filter.
To DateTo date filter, specifies the end date of transfers to filter.
OrganizationAllows selection of concept in the "Organization" segment of CoA and element code for the concept selected. 
Transaction ClassFixed filter criteria, users can not change the value of this filter.
Asset Item TabMultiple selection of asset items to take into consideration, non mandatory filter.
Asset Transaction Type TabMultiple selection of asst transaction types (Bar code of the assets), non mandatory filter.

 

Asset Item Disposal Log

Overview

This report shows asset item dispossal report log.

 

Navigation 

Assets ► Asset Reports ► Philippines Reports  Asset Item Disposal Log

 

Asset Item Disposal Log Report Screen fields

FieldsDescription
Fiscal YearUser selects Fiscal Year. This parameter is mandatory and display only.
From DateFrom date filter
To DateTo date filter
CommentAny comment to add in the output report.
 OrganizationMandatory - Allow Selection of concept in the "Organization" Segment of COA and element code for the concept selected. 
Transaction ClassFixed filter, user can not change.
Asset Item TabNon-Mandatory Multiple selection
Asset Transaction Type TabNon-Mandatory Multiple selection (Bar code of the assets)

 

Biological Assets Property Card Report

Overview

Record and monitor biological asset/s on a quarterly basis by the Biological Asset/s Caretaker or Officer in-charge for each type of biological asset.

Navigation

Assets ► Asset Reports ► Philippines Reports ► Biological Assets Property Card Report

Biological Assets Property Card Report screen Fields

FieldsDescription
Fiscal YearBy default filter presents current year, users are allowed to select perivous years from the dropdown.
Fiscal PeriodDefault current Period. Allows users to select previous Periods from dropdown.
InstitutionAllow users to filter asset items that belong to a particular RESP_CENTER, including roll ups to its parent institution unit, agency, and department. Mandatory and single selection filter criteria.
Asset ClassAsset Class that may be used as filter criteria for this report.
Asset Item StatusAsset Item Status that may be used as filter criteria for this report.

 

Construction In Progress Ledger Card Report

Overview

Details of the Asset being constructed maintained by the Property Custodian to view the record of the construction cost and other information about the asset.

Navigation

Property Plant and Equipment ► Asset Reports ► Philippines Reports ► Construction In Progress Ledger Card Report

Construction In Progress Ledger Card Report Screen Fields

FieldsDescription
InstitutionLook up. Mandatory - Allow the user to filter Asset item that belongs to a particular RESP_CENTER
Asset ClassLook up. Mandatory - Allow user to select the Asset Class.
Purchase OrderMandatory - Allow the user to select all Purchase Order realated to Generic Sub-ledger.
Generic Subledger RegisterMandatory - Allow the user to select from Generic Sub-ledger
Fund ClusterLook up. Mandatory - Concept Fund Cluster of the segment Finding Source.

 

FIXED ASSET/ ITEM ACCOUNTABILITIES REPORT

Overview

This report shows Details of all the asset by assignment to a division or employee.

Navigation

Assets ► Asset Reports ► Philippines Reports  Fixed Asset or Item Accountabilities

Fixed Asset or Item Accountabilities Report screen Field

 

FieldsDescription
Fiscal YearDefault value is current Fiscal Year. Allows users to select previous Fiscal Years from dropdown. Mandatory filter parameter.
Responsibility CenterResponsibility Center used as filter criteria for this report.
CommentUser comments related to report. These are include din the comment section of the report.
EmployeeTo select one or more asset employees as filter criteria.

 

Inventory And Inspection Report Of Unserviceable Property

Overview

The IIRUP is a report prepared by the Supply and/or Property Unit as basis to record dropping from the books the unserviceable properties carried in the PPE accounts.

Navigation

Property Plant and Equipment ► Asset Reports ► Philippines Reports ► Inventory And Inspection Report Of Unserviceable Property

Registry of Heritage Asset Report Screen Fields

FieldsDescription
Fiscal yearDefault current Year. Allow user to select previous Year from dropdown. Mandatory
Entity NameAllow the user to filter Asset item that belongs to a particular RESP_CENTER including roll ups to its parent institution Unit, Agency, and Department. Mandatory. Single selection
Fund ClusterFrom Concept Fund Cluster of the segment Finding Source of the UACS. Single Selection
CommentUser comments related to report.

 

Property Acknowledgement Receipt Issuance Control Report

Overview

To show the details of issuance of PAR to the Employees.

Navigation

Property Plant and Equipment ► Asset Reports ► Philippines Reports ► Property Acknowledgement Receipt Issuance Control Report

Property Acknowledgement Receipt Issuance Control Report Screen Fields

 

FieldsDescription
Fiscal YearDefault current Year. Allow user to select previous Year from dropdown. Mandatory
From DateFrom date filter
To DateTo Date Filter
Entity NameAllow the user to filter Asset item that belongs to a particular RESP_CENTER including roll ups to its parent institution Unit, Agency, and Department. Mandatory. Single selection
CommentUser comments related to report.
Custody TransactionTo select one or more Custody Transaction as filter criteria.

 

Quarterly Report On Biological Assets Report

Overview

The purpose of this report

1. To report the biological asset/s on a quarterly basis by the Biological Asset's Caretaker or Officer in-charge for each type of biological asset.

2. It shall be prepared quarterly by fund cluster.

Navigation

Property Plant and Equipment ► Asset Reports ► Philippines Reports ► Quarterly Report On Biological Assets Report

Quarterly Report On Biological Assets Report Screen Fields

FieldsDescription
Fiscal YearCurrent Fiscal Year when the asset item is created. Default value is the current year.
Fiscal PeriodCurrent Fiscal Period when the asset item is created. Default value is the current period.
Entity NameDisplay the Institution Description of the institution from Employee profile
Asset ClassAllows user to select Asset class from the look up functionality.
DateDate selection. (Only for report display, no relation with asset item)
Quarter1st Quarter, 2nd Quarter, 3rd Quarter, and 4th Quarter- dropdown Selection.
FUND CLUSTERAllow user to select from Employee entity with employees having the institution same with the employee profile of the user generating the report.

 

Registry of Heritage Asset - Summary Report

Overview

Monthly report to summarize the cost of specific Heritage Assets.

Navigation

Property Plant and Equipment ► Asset Reports ► Philippines Reports ► Registry of Heritage Asset - Summary Report

Registry of Heritage Asset - Summary Report Screen Fields

FieldsDescription
Fiscal YearDefault current Year. Allow user to select previous Year from dropdown. Mandatory
Fiscal PeriodDefault  current Period. Allow user to select previous Periods from dropdown. Mandatory
Entity NameAllow the user to filter Asset item that belongs to a particular RESP_CENTER including roll ups to its parent institution Unit, Agency, and Department. Mandatory. Single selection
Fund ClusterFrom Concept Fund Cluster of the segment Finding Source of the UACS. Single Selection
CommentUser comments related to report.

 

Registry of Heritage Asset Report

Overview

The purpose of this report is to Record and monitor heritage assets owned by the agency/entity.

Navigation

Property Plant and Equipment ► Asset Reports ► Philippines Reports ► Registry of Heritage Asset Report

Registry of Heritage Asset Report Screen Fields

FieldsDescription
Fiscal yearDefault current Year. Allow user to select previous Year from dropdown. Mandatory
Fiscal PeriodDefault  current Period. Allow user to select previous Periods from dropdown. Mandatory
InstitutionAllow the user to filter Asset item that belongs to a particular RESP_CENTER including roll ups to its parent institution Unit, Agency, and Department. Mandatory. Single selection
Fund ClusterFrom Concept Fund Cluster of the segment Finding Source of the UACS. Single Selection
Nature Of Heritage AssetAllow user to select the subobject from concept GL

 

Report on the Physical Count of Property, Plant and Equipment

Overview

Presents the physical count of PPE by type; such as land, land improvements, infrastructure, building and other structures, machinery and equipment, transportation equipment, furniture, fixtures and books, etc. which meet the filtered criteria.

Navigation

Property Plant and Equipment ► Asset Reports ► Philippines Reports ► Report on the Physical Count of Property, Plant and Equipment

Report on the Physical Count of Property, Plant and Equipment Screen Fields

FieldsDescription
Fiscal YearUsers selects Fiscal Year, this parameter is mandatory.
Asset ClassAsset Class filter. Mandatory single selection filter.
Asset Count RequestAsset Count request filter. Mandatory single selection filter.
Fund ElementNon mandatory single selection filter.
CommentUser edited comment to be included in the report.

 

Waste Material Report

Overview

The Waste Material Report is used by the Supply and/or Property Custodian to report all waste materials previously taken up in the books of accounts as assets or in custody.

Navigation

Property Plant and Equipment ► Asset Reports ► Philippines Reports ► Waste Material Report

Waste Material Report Screen Fields

FieldsDescription
Fiscal YearUser selects Fiscal Year. This parameter is mandatory.
From DateStart date of records to filter.
To DateEnd date of records to filter.
OrganizationAllows selection of concept in the "Organization" Segment of CoA and element code for the concept selected. Mandatory filter criteria.
Multi Fund ConceptAllows selection from concept "Fund Cluster" from "Fund" Segment of CoA. Mandatory multiple selection filter.

 

Recapitulation Reports

Overview

The Recapitulation reports are used to summarize the main points of the evolutionary process of assets during their growth and (if applicable) regression.

 

Navigation

Assets ► Asset Reports ► Recapitulation Report

 

 Recapitulation Report screen fields and Tabs

Field

Description

Asset Class

The Asset Class  selected as a filter criteria for the report.

Existing Before

The Existing before Date  selected as  a filter criteria for the report.

From Date

The From Date selected as a filter criteria for the report

To Date

The To Date  selected as a filter criteria for the report.

Comments

Comments that may be entered with the report

Sort By

Filter criteria for the report

No

Serial Number

Institution

The Institution that may be selected as filter criteria for the report

Description Item

Name of the Asset Class.

Existing Before

The total number of assets for a certain asset class before the defined date.

Existing Between

The total number of assets for a certain asset class between the defined dates.

Total

Total number of Assets.

Condition

Total number of assets for the selected Asset Physical condition and they are: In use, In Stock, Disposed, and Being Repaired and for sale.

Planning to purchase in

Quantity of assets planned to purchase in a given year

 

Receipt Of Adjudication Report

Overview

Monthly report to summarize the cost of specific Heritage Assets.

Navigation

Assert ► Asset Reports ► Receipt Of Adjudication Report

Receipt Of Adjudication Report Screen Fields

FieldsDescription
InstitutionLookup function to select Institution related to receipts as filter criteria.
Register Of AuctionLookup function to select Register Of Auction as filter criteria.
Mode AuctionDropdown list allows users to select a Mode Auction as filter criteria.
CustomerLookup function to select a Customer related to the receipt as filter criteria.
Asset ItemLookup function to select Asset Item as filter criteria.
Catalogue ItemLookup function to select Catalogue Item as filter criteria.
From DateStart date of the receipts to filter.
To DateEnd date of the receipts to filter.
Registration of BidLookup function to select Registration of Bid as filter criteria.


 

Sales Act Report

Overview

The purpose of this report is to give a support of the sale process to the customer,

Navigation

Asset ► Asset Reports ► Sales Act Report

Sales Act Report Screen Fields

FieldsDescription
InstitutionIt shows the institution ID for filtering.
Register Of AuctionThis feature keeps track of the auction to be recorded within institution.
Asset ItemAsset item used as filter criteria.
Catalogue Item IdThis feature keeps track of the auction to be recorded within institution.
CustomerIt shows the customer related to the report filter.
VendorThe report of sales act by vendor may be sorted/narrowed down by selecting Vendor(s) as a filter criteria, limiting the output data.
Mode AuctionIt shows the Mode Auction related to the report filter.
From DateThe Date From that may be selected as filter criteria for the report.
To DateThe Date To that may be selected as filter criteria for the report.
Asset TransactionThe report of sales act by asset transaction may be sorted/narrowed down by selecting Vendor(s) as a filter criteria, limiting the output data.

 

SriLanka Reports

Asset Class Mandatory Additional Fields Check Up Report

Overview

Allow the Data Import Client assigned users to check asset item additional fields

Navigation

Assets ► Asset Reports ►SriLanka Reports  Asset Class Mandatory Additional Fields Check Up Report

 

Asset Class Mandatory Additional Fields Check Up Report screen Field

FieldsDescription
Fiscal YearFiscal year used as filter criteria for this report.
Fiscal Period FromFiscal Period From used as filter criteria for this report.
Fiscal Period ToFiscal Period To used as filter criteria for this report.
InstitutionInstitution used as filter criteria for this report.
Additional FieldsCheck box to filter additional fields.
Asset ClassTab to seletone or more asset class as filter.

 

Board Of Survey Recommendations Report

Overview

The Chief Accounting Officer in constitution with Heads of Departments will appoint one or more verification boards to carry out verifications on Fixed Assets. Board of Survey should submit this report to the Chief Accounting Officer as soon after closure of the financial year indicating the existence and condition of each asset item under different classes of assets summary of which should be submitted along with the Annual Appropriation Account.

Navigation

Assets ► Asset Reports ►SriLanka Reports  Board Of Survey Recommendations Report

Board Of Survey Recommendations Report screen Field

FieldsDescription
Asset ItemAsset item id used as filter criteria for this report.
InstitutionInstitution used as filter criteria for this report.

 

 

Work In Progress Status Report

Overview

This report shows the details of all projects which is in progress. Users can use report filters to generate the report as per their requirements.

A screenshot of the Work In Progress Status Report is available here. Image is shown as reference material; position and names for labels, fields and buttons are subject to the parameter, rendering control configuration and the installed revision.

Users access Work In Progress Status Report from within the menu through this navigation path: Assets ► Assets report ► Sri Lanka Reports ► Work In Progress Status Report.

 

Filters

The following table lists and describe all filter fields for the Work In Progress Status Report in their default order. Note that some fields depend on System Parameters and rendering control configuration to be visible and/or editable by users. Field names are subject to change through language label configuration.

FieldDescription
Fiscal YearIt lists the fiscal year and allows users to select it as a report filter. This is a mandatory field for the report. The current fiscal year is set as the default value.
Fiscal PeriodIt lists the fiscal period and allows users to select it as a report filter. This is a mandatory field for the report. The January is set as the default value.
Coding BlockThe lookup button lists all the coding block and allows to choose a coding block as a filter. User can enter it manually.

 

Visible Fields

A sample of the report is available here.The following table lists and describes all visible fields for the Work In Progress Status Report, in their default order. Note that some fields depend on Filters selection and the language of the report depends on the configuration of the system.

FieldDescription
No.The sequential number of the report items.
JV ReferenceJournal voucher ID of the related asset items.
Asset Item IdAsset item ID.
Work Completed Coding BlockCoding block for work completed.
Work Completed DescriptionDescription for work completed.
Transferred to Fix Assets Coding BlockCoding block for the transferred to fixed assets.
Transferred to Fix Assets DescriptionDescription for the transferred to fixed assets.
AmountDebit domestic amount from the related Journal Voucher.
Total work completed and transferred to fixed assetsGrand total amount.

 

Buttons

The following table describes actions associated with the depicted button image. Note that some images are associated with several buttons, used for more than one purpose within the Work In Progress Status Report feature.

Button ImageDescription
The pdf button allows users to generate the report in the pdf format.
The Excel button allows users to generate the report in the excel format. This format is compatible with Microsoft Office 97-2003 or higher version.
The Excel button allows users to generate the report in the excel format. This format is compatible with Microsoft Office 2003 or higher version software.
This ODS button allows users to generate the report in ODS format. This format is compatible with spreadsheet software such as Microsoft Office, Open Office or Libre Office.
This RTF button allows users to generate the report in RTF format.
The Word button allows the users to generate the report in word format. This format is compatible with Microsoft Office 97-2003 or higher version.
This ODT button allows users to generate the report in ODT format. This format is compatible with word processing software such as Microsoft Office, Open Office or Libre Office.
The Lookup tool allows users to browse and select existing items.

 

Statement Of Non Current Assets Report

Overview

Information on non-current assets are listed, sorted and generated as per filter criteria set in this screen. All relevant information can be generated in this report specific for non-current assets.

 

Navigation

Assets ► Asset Reports ► Statement Of Non Current Assets Report

 

Statement Of Non Current Assets Report screen Fields

Field

Description

Asset Class

Asset Class selected from lookup option.

Effective Date From

Starting Effective Date selected from calendar button.

Effective Date To

End Effective Date selected from calendar button.

Original value From

Starting range of Original value from is entered in this field.

Original value To

End range of Original value from is entered in this field.

Book value From

Starting range of book value is entered in this field.

Book value To

End range of book value is entered in this field.

Region

Region to be selected from lookup option.

Physical Condition

Physical Condition selected from drop down box.

Group Individual Institutions

Whether Individual Institutions is grouped, is mentioned by checking this field.

Group By Institution Type

Whether Institution Type is grouped, is mentioned by checking this field.

Institution

Institution is selected for filtering records.

Asset Item Group

Asset Item Group is selected for filtering Item Group.

 

Tag Barcodes Of Asset Items Report

Overview

Reports on Tag barcode of Asset Items are generated through this screen.

 

Navigation

Assets ► Asset Reports ► Tag Barcodes Of Asset Items Report

 

Tag Barcodes Of Asset Items Report screen Fields

Field

Description

Type Of Barcode

Type of Barcode is selected from drop down box.

Unit

Unit of measurement is selected from drop down box.

Width

Width of Tag Barcode is entered in this field.

Height

Height of Tag Barcode is entered in this field.

Warehouse

Warehouse where the Asset item is located is selected from lookup button.

Asset Class

Asset Class to which the Asset Item belongs is selected from lookup button.

Catalogue Item

Relevant Catalogue Item is selected from lookup button.

Item Category

Item Category to which Asset Item belongs is selected from lookup button.

Bar Code

Bar Code of Asset Item is entered in this field.

Serial Number

Serial Number of Asset Item is entered in this field.

Region

Region of Asset Item is selected from lookup button.

Start Date In Use: From Date

Initial date of Start Date In Use is selected from calendar button.

Start Date In Use: To Date

End date of Start Date In Use is selected from calendar button.

Last Count Date: From Date

Intial date of Last Count Date is selected from calendar button.

Last Count Date: To Date

End date of Last Count Date is selected from calendar button.

 

Tag Barcodes Sheets Of Asset Items Report

Overview

Tag barcode sheets for Asset Items are generated through this screen.

 

Navigation

Assets ► Asset Reports ► Tag Barcodes Sheets Of Inventory Items Report

 

Tag Barcodes Sheets Of Asset Items Report screen Fields

Field

Description

Type Of Barcode

Type of Barcode is selected from drop down box.

Unit

Unit of measurement is selected from drop down box.

Warehouse

Warehouse to which the Asset Item belongs is selected from lookup button.

Asset Class

Asset Class to which the Asset Item belongs is selected from lookup button.

Catalogue Item

Catalogue Item is selected from lookup button.

Item Category

Item Category is selected from lookup button available for this field.

Bar Code

Bar Code is entered in this field for report generation purpose.

Serial Number

Serial number is mentioned in this field.

Region

Region is selected from lookup option available for this field.

Start Date in Use: From Date

Intial date of Start Date In Use is selected from calendar button.

Start Date in Use: To Date

End date of Start Date In Use is selected from calendar button.

Last Count Date: From Date

Intial date of Last Count Date is selected from calendar button.

Last Count Date: To Date

End date of Last Count Date is selected from calendar button.

 

Tag Barcodes Sheets Of Inventory Items Report

Overview

Tag barcode sheets for Inventory Items are generated through this screen.

 

Navigation

Assets ► Asset Reports ► Tag Barcodes Sheets Of Inventory Items Report

 

Tag Barcodes Sheets Of Inventory Items Report screen Fields

Field

Description

Type Of Barcode

Type of Barcode is selected from drop down box.

Warehouse

Warehouse to which the Inventory Item belongs is selected from lookup button.

Item Class

Inventory Item Class to which the Inventory Item belongs is selected from lookup button.

Catalogue Item

Catalogue Item is selected from lookup button.

Catalogue Item Category

Item Category is selected from lookup button available for this field.

Bar Code

Bar Code is entered in this field for report generation purpose.

Requires Lot Management

Whether Lot manangement is required, is entered in this field by marking the check box.

Last Acquisition Date- From Date

Intial date of Last Acquisition Date is selected from calendar button.

Last Acquisition Date- To Date

End date of Last Acquisition Date is selected from calendar button.

Last Count Date: From Date

Intial date of Last Count Date is selected from calendar button.

Last Count Date: To Date

End date of Last Count Date is selected from calendar button.

 

Tag Barcodes Sheets Of Storage Bins Report

Overview

Barcode sheets for storage bins are generated through this screen.
 

Navigation

Assets ► Assets Reports ► Tag Barcodes Sheets Of Storage Bins Report

 

Tag Barcodes Sheets Of Storage Bins Report screen Fields

 

Field

Description

Type Of Barcode

Type of Barcode to be selected from dropd down box for filtering records.

Warehouse

Warehouse to which the stores/ inventory relates, to be selected from lookup button.

Row

Row where the stores/ inventory is located.

Stack

Stack where the inventory/ stores is located. 

Level

Level of stores.

Bar Code

Bar Code of the iventory item.

Storage Bin Type

Storage Bin Type to be selected from drop down box.

Storage Unit Type

Storage Unit Type to be selected from drop down box.

Storage Section

Storage section to be selected from lookup button.

 

Auction

Bid Customer Evaluation

Overview

The Bid Customer Evaluation is used to add any desired documents to the Evaluation Bid Auction.

Bid Customer Evaluation

Overview

This feature evaluates the customers who are participating in the auction.

 

Navigation 

Assets ► Auction ► Bid Customer Evaluation

 

Bid Customer Evaluation screen Fields and Tabs

Field

Description

Code

Unique identifier. Automatically generated by the system.

Evaluation concluded

Checkbox by default unchecked.

Reasons

Reasons of Bid Customer Evaluation.

Customer

Bid Customer Evaluation customer reference.

Created By

Shows the user id who creates the auction.

Evaluation Bid Auction

Evaluation Bid Auction reference for Bid Customer Evaluation.

Eligibility

Eligibility Status of the customer.

Financial Evolution

Status of the Financial Evolution.

Financial Evolution Result

Status of the Financial Evolution Result.

Final Result

Final result of the Bid Customer Evaluation.

Language

Country specific language used.

Remarks

Complete Description of the Bid Customer Evaluation.

 

Document Warranty

Overview

The Document Warranty Tab is used to include any Document Warranty for Register of Auction.

 

Document Warranty Tab Screen Fields 

Field

Description

ID

Unique identification code manually entered by users or automatically generated based on parameters. 

Active

Active checkbox by default checked.

Is Mandatory

Is Mandatory checkbox by default checked.

Created By

User reference id who creates Document Warranty.

Amount Warranty

Warranty of the amount.
Registration Date

Date of the registration.

Language

Language for that Document Warranty file.

Description

Any description of the Document Warranty or additional information not included in the uploaded document can be included here.

 

 

Evaluation Commitee

Overview

The Evaluation Commitee is used to attach any desired documents to Register of Auction.

 

Evaluation Commitee Tab Screen Fields 

Field

Description

Sequence Number

Unique identification code manually entered by users or automatically generated based on parameters. 

Responsible for Auction

Check box by default unchecked.

Employee

Employee reference number.

Designation Date

Date for the evaluation.

Created By

Shows the user id who creates the auction.
Date and Time of Creation

The date and time on which the evaluation is uploaded.

Observations

Observation details by the user.

Language

Language for that Attachment file.

 

Evaluation Committee

Overview

This feature is used to carry the assignment of each of the people who formed the committee to evaluate each of the auction, these people are officials belonging to the institution wherein said process is affected. 

Evaluation Files Tab

Overview

The Evaluation Files is used to attach any desired documents to the Evaluation Bid Auction.

 

Evaluation Files Tab

Field

Description

ID

Unique identification code manually entered by users or automatically generated based on parameters.

Language

Country Specific Language used to register the description.

Title

Title of attachment uploaded.

Description

Any description of the attachment or additional information not included in the uploaded document can be included here.

Attachment

Choose respective file to upload.

Date Time

The date and time the attachment was uploaded.

User

The name of users uploading the attachment.

Language

Language for that Attachment file.

 

Register Of Auction

Overview

This feature is used to keep track of the auction to be recorded within institutions, bearing the control start date, end date and auction mode this can be a sealed envelope or hammer.

 

Navigation 

Assets ► Auction ► Register of Auction

 

Register of Auction screen Fields and Tabs

Field

Description

ID

Unique identifier. Automatically generated by the system.

Workflow

Shows the workflow status.eg. Created.

Fiscal Year

Fiscal Year when this voucher is created. Automatically assigned by the system with current fiscal year.

Fiscal Period

Fiscal Period when this voucher was created. Automatically assigned by the system with the current fiscal period.

Institution

Accounting office code.

Mode Auction

This attribute can take one of the following values, Closed envelope, Hammer.

Award Item Level

An Auction can be Full Lot i.e. False or Item award Level i.e. True.

Currency

To allow the user to select the Type of Currency. Default is Domestic Currency.

Exchange Rate

Rate of the Exchange.

Date Initial For Receipt Of Bidding

The Date from the Initial Date the Auctions.

End Date For Receipt Of Bidding

The Date from the End Date the Auctions.

Number Of Days To Review Bidding

Number of days to review bidding, this value for default is 0.

Opening Date

The Date from the Opening Date the Auctions.

Payment Method

Reference to an existing Payment Method from the Payment Method feature.

Total Amount Base

This amount is calculated by the sum of all items registered for this auction.

Amount Total Sales

When the process of sale is made the sum of all goods sold is made and the total amount of the amount of auction sale to be updated.

Created By

Shows the user id who creates the auction.

Date and Time of Creation

System Current Date time, Populated automatically by the system at creation time of the record.

Approved By

Populated automatically by the system when corresponding workflow reaches its last Approval.

Date And Time Of Approval

System Current Date time. Populated automatically by the system when corresponding workflow reaches its last Approval.

Language

Country specific language used.

Description

Complete Description of the Auction.

Comment

Comment of the auction.

Awarded

This Field is Read Only; an Auction can be Is Awarded = 'True' or Not Is Awarded = 'False'.

Reason For Not Awarded

This Field is Read Only, Contains Description of the reason for Not Awarded Auction.

Reason For Cancelled

This Field is Read Only, Contains Description of the reason for cancelled Auction.

Auction Items Tab

Auction Items Tab includes items reference to the auction.

 

Document Warranty

Overview

The Document Warranty Tab is used to include any Document Warranty for Register of Auction.

 

Document Warranty Tab screen field

Field

Description

ID

Unique identification code manually entered by users or automatically generated based on parameters.

Active

Active checkbox by default checked.

Is Mandatory

Is Mandatory checkbox by default checked.

Created By

User reference id who creates Document Warranty.

Amount Warranty

Warranty of the amount.

Registration Date

Date of the registration.

Language

Language for that Document Warranty file.

Description

Any description of the Document Warranty or additional information not included in the uploaded document can be included here.

 

Evaluation Committee

Overview

The Evaluation Commitee is used to attach any desired documents to Register of Auction.

 

Evaluating Commitee Tab Screen Field

 

Field

Description

Sequence Number

Unique identification code manually entered by users or automatically generated based on parameters.

Responsible for Auction

Check box by default unchecked.

Employee

Employee reference number

Designation Date

Date for the evaluation.

Created By

Shows the user id who creates the auction.

Date and Time of Creation

The date and time on which the evaluation is uploaded.

Observations

Observation details by the user.

Language

Language for that Attachment file.

 

Registration Of Bid

Overview

Feature in which the information is storing the bids submitted by each of the bidders.

Navigation 

Assets ► Auction ► Registration of Bid

Registration of Bid screen Fields and Tabs

Field

Description

ID

Unique identifier. Automatically generated by the system.

Workflow

Shows the workflow status.eg. Created.

Register of Auction

Reference Id of register of Auction.

Customer

Bidding customer reference.

Created By

Shows the user id who creates the auction.

Registration Date

System Current Date time, Populated automatically by the system at creation time of the record.

Approved By

Populated automatically by the system when corresponding workflow reaches its last Approval.

Date And Time Of Approval

System Current Date time. Populated automatically by the system when corresponding workflow reaches its last Approval.

Language

Country specific language used.

Observations

Complete Description of the Bid.

Reason for Cancellation

Bid Cancellation reason.

 

Document Warranty Of Bid Tab

Overview

The Document Warranty Of Bid is used to attach any desired documents to the Registration Of Bid.

 

Document Warranty of Bid Tab

 

Field

Description

ID

Unique identification code manually entered by users or automatically generated based on parameters.

Document Warranty

Document warranty reference.

Payment Method

Payment method for the bid.

Amount Warranty Biding

Bidding warranty amount.

Number of Document

Number of documents attached.

Created By

User reference id who creates Document Warranty.

Registration Date

Date of the registration.

 

Items Of Bid

Overview

The Items Of Bid Tab is used to include any Items Of Bid of a Registration Of Bid.

 

Items of Bid Tab screen Field 

Field

Description

ID

Unique identification code manually entered by users or automatically generated based on parameters.

Auction Item

Items for auction.

Amount Bidding

Bidding amount.

Created By

User reference id who creates Items Of Bid.

Registration Date

Date of the registration.

 

Templates For Sales

Overview

This feature used to add templates for the sales.

Navigation

Assets ► Auction ► Templates for Sales

Templates for Sales screen Fields and Tabs

FieldsDescription
IdUnique identifier code. Automatically generated by the system.
ActiveDefault value is true. If this value is changed to False, such Template for Sales can’t be selected again and it will remain for references purposes only.
LanguageCountry specific language used.
InstitutionInstitution associated with Sales.
NameReceipt Type Name.
Text 1User will defines here the text to be use on the report.
Text 2User will defines here the text to be use on the report.

 

Create a Goods/Services Received/Rejected Note Detail

Navigation (From  click the New Iconunder )

1. Enter the new Goods/Services Received/Rejected Note Detail information.

2. Enter the Correlative, as required.

3. Select a Purchase Order ID from the drop-down menu.

4. Select a Purchase Order Item ID from the drop-down menu.

5. Select a Purchase Order Item Drop ID from the drop-down menu.

6. To enter the Item, if required, click on the Lookup icon ,  click on the Find icon  to retrieve the Item list, then select the Item.

7. Enter the Unit Cost.

8. Select a Unit of Measure from the drop-down menu.

9. Enter the Quantity Received/Returned.

10. Enter the Percentage of Progress Accepted.

11. Enter the Amount.

12. Enter the Tax Amount.

13. Select a Language from the drop-down menu.

14. Enter the Remarks.

 

To ADD Item Taxes to the Goods/Services Received/Rejected Note Details, if required:

1. Click on the  tab and then click on the New icon to enter the Item Tax (refer to Item Tax for more information).

2. Click on the Save and Return icon to save the Item Tax information and return to the Goods/Services Received/Rejected Note Details screen, or click on the Discard icon  to discard the Item Tax entry and return to the Goods/Services Received/Rejected Note Details screen.

3. Click the Remove icon to remove the selected Item Tax information, if required.

4. Click the individual Select Checkbox (es) to select and de-select the Item Taxes, as required, or click the Select All icon  or Unselect All  icon, to select all Item Taxes or de-select all Item Taxes, if required.

 

To ADD Perishable Lots to the Goods/Services Received/Rejected Note Details, if required:

1. Click on the  tab and then click on the New icon to enter Perishable Lots (refer to Perishable Lot for more information).

2. Click on the Save and Return icon to save the Perishable Lot information and return to the Goods/Services Received/Rejected Note Details screen, or click on the Discard icon  to discard the Perishable Lot entry and return to the Goods/Services Received/Rejected Note Details screen.

3. Click the Remove icon to remove the selected Perishable Lot information, if required.

4. Click the individual Select Checkbox (es) to select and de-select the Perishable Lots, as required, or click the Select All icon  or Unselect All  icon, to select all Perishable Lots or de-select all Perishable Lots, if required.

Click on the Save and Return icon to save the Goods/Services Received/Rejected Note Details information and return to the Return & Receive Notes screen, or click on the Discard icon  to discard the Goods/Services Received/Rejected Note Details entry and return to the Return & Receive Notes screen.

Item Tax

Navigation (From  click the New Iconunder , and then click the New Icon  under )

Create an Item Tax

Navigation (From  click the New Iconunder , and then click the New Icon  under )

Perishable Lot

Navigation , click on the  tab and then click on the New Icon

Create a Perishable Lot

Navigation , click on the  tab and then click on the New Icon

1. Enter the new Perishable Lot information.  Fields with an asterisk  are mandatory fields.

2. Enter the Perishable Lot ID

  • Perishable ID: Unique Identifier for the Perishable Lot

3. Select the Production Date and Expiration Date using the green calendar icon

  • Production Date: Date when the lot items where produced
  • Expiration Date: Date when the lot items will expire

4. Enter the Quantity On Hand and the Received Quantity

  • Quantity On Hand: It is the available quantity on the Lot
  • Received Quantity: Represents the quantity received during GRN for the Lot

5. Select the Language from the drop-down box.

  • Language: Language used

6. Enter the Remarks and Manufacturer Lot ID, if required.

  • Remarks: Relevant information about the item, special treatment, warranty conditions, etc.
  • Manufacturer Lot ID: Represents the Unique Lot number assigned by the Manufacturer

7. Click on the Save and Return icon to save the Perishable Lots information and return to the Inventory Item screen or click on the Discard icon  to discard the Perishable Lots entry and return to the Inventory Items screen.

Leasing

Contract Leasing

Overview

The lease is between the government departments that are giving the goods as leased; this is done through the generation of a contract and defining fees paid for the use of the goods being delivered.

Navigation 

Assets ► Leasing ► Contract Leasing

 

Contract Leasing screen Fields and Tabs

Field

Description

Id

Unique identifier. Automatically generated by the system.

Fiscal Year

Fiscal Year when this voucher is created. Automatically assigned by the system with current fiscal year.

Fiscal Period

Fiscal Period when this voucher was created. Automatically assigned by the system with the current fiscal period.

Institution

Accounting office code.

Customer

The system will populate this attribute with the Customer ID where Customer Status is Active.

Contract Number

Number reference to the contract.

Issue Date

Contract issuing date.

Effective Date

Contract effective date.

Expiration Date

Date of expiration of the contract.

Days of Grace to Renew

Grace period or renewal of the contract.

Is Renewable

Checkbox for renewal of contract. By default unchecked.

Employee

Employee reference ID.

Currency

Currency based on the country.

Exchange Rate

Rate of currency exchange.

Discount Rate

Discount rate on the contract leasing.

Contract Amount

Contract amount for leasing.

Total Contract Amount

Total amount for contract leasing.

Payment Frequency

Frequency on the payment as per contract.

Number Of Payment

Number of the payment done.

Amount Of Fee Payment

Amount of payment for item leasing.

Contract Leasing Operational Status

Possible status could be, Application Process, Active Contract, Expired, Cancelled, Rescinded.

Renewed Contract Leasing

Leasing ID of renewed Contract Leasing.

Reason

Reason of the contract.

Language

Country specific language used.

Description

Description of the feature and details.

Lease Terms

Terms for leasing the item.

Exclusions

Provisions that explicitly limit the contract provided by a leasing.

Created By

User created the leasing item.

Created Date

Contract Leasing creating date.

Approved By

Approved by user

Approved Date

Date of approval.

Leasing Asset Item

Details of the Items to be given/taken on lease.

 

Payment Items Leasing

Overview

Feature containing the detailed information of payments made on the basis of leasing.

 

Navigation 

Assets ► Leasing ► Payment Items Leasing

 

Payment Items Leasing screen Fields and Tabs

Field

Description

Id

Unique identifier. Automatically generated by the system.

Fiscal Year

Fiscal Year when this voucher is created. Automatically assigned by the system with current fiscal year.

Fiscal Period

Fiscal Period when this voucher was created. Automatically assigned by the system with the current fiscal period.

Institution

Accounting office code.

Workflow Status

Shows the workflow status.eg. Created.

Payment number

Number of the payment done.

Payment Amount

Amount of payment for item leasing.

is Requires Partial Payments

Checkbox by default unchecked.

Payment Date

Date of the Payment.

Date And Time

System Current Date time. Populated automatically by the system.

Language

Country specific language used.

Observation

Observation details of Payment Items Leasing.

Created By

User created the leasing item.

Created Date

Payment Items leasing creating date.

Approved By

Approved by user

Approved Date

Date of approval.

 

Statement Of Payment

Overview

Feature that keeps track of the statement for the payments to be made for the lease of state assets.

Navigation 

Assets ► Leasing ► Statement of Payment

 

 

Statement of Payment screen Fields and Tabs

Field

Description

Id

Unique identifier. Automatically generated by the system.

Fiscal Year

Fiscal Year when this voucher is created. Automatically assigned by the system with current fiscal year.

Fiscal Period

Fiscal Period when this voucher was created. Automatically assigned by the system with the current fiscal period.

Institution

Accounting office code.

Workflow Status

Shows the workflow status.eg. Created.

Number Payment Executed

Executed number of the Payment.

Number Payment Pending

Pending number of the Payment.

Amount Pending

Amount pending for the Payment.

Reason

Reason of the payment statement.

Language

Country specific language used.

Observation

Description of the feature and details.

Created By

User created the leasing item.

Created Date

Statement Of Payment creating date.

Approved By

Approved by user

Approved Date

Date of approval.

Payment Items Leasing

Details of the payments against Items to be given/taken on lease.