Assets > Browses > Browse on Assets

Browse on Assets

You use this program to view basic details of assets currently defined.

You use the Assets program to add and maintain static (descriptive) information for your assets. Static information for Assets can also be added using the Asset Import or programs.

Toolbar and menu

Field Description
Include  
Specific Location's Assets Select this to be able to indicate a specific asset Location for which you want to display assets in the listview.
Change Location Select this to indicate a different asset location for which you want to display assets in the listview. This enables the Location field.
Location Indicate the asset location for which you want to display assets in the listview.

Listview columns

When you access the Browse on Assets program, the assets currently defined are displayed in a listview.

Column Description
Asset This indicates the code of the asset.
Description This indicates the description of the asset.
Asset location This indicates the location of the asset and is used as a subtotalling criterion when printing reports.
Asset branch This indicates the branch to which the asset belongs.
Asset group This indicates the asset group and can be used for ledger integration purposes to establish the correct ledger codes for the various depreciation codes if the group is included as part of the integration level for assets (see Assets Ledger Interface - Integration Level).
Ledger code This indicates the general Ledger account code to which the expense side of depreciation entries must be distributed for General Ledger integration purposes.
Asset type This indicates the asset type, which is used to classify your assets.
Purchase date This indicates the purchase date of the asset.

Notes and warnings

Restricted maintenance

  • You cannot maintain information displayed in this list view if access to the program is set to Browse only but access to the corresponding maintenance program is not allowed (see Security Access).

eSignature considerations

Electronic Signatures provide security access, transaction logging and event triggering. This enables you to increase control over your system changes.

Access to the following eSignature transactions within this program can be restricted at Operator, Group, Role or Company level. You configure this using the Electronic Signatures program.

eSignature Transaction Description
Asset Added

Controls access to the New Asset Code function in the Assets, Asset Initial Capture and Browse on Assets programs.

Asset Changed

Controls access to the maintenance of assets in the Assets and Browse on Assets programs.

Asset Deleted

Controls access to the Delete Asset Code function in the Assets and Browse on Assets programs.

Deletion considerations

  • An asset can only be deleted if no depreciation exists in any of its Depreciation Books (i.e. Book value, Tax value and Alternate values).

    When depreciation exists for the asset, you need to use the Asset Disposal program to dispose of the asset and remove it from the register.