(RUS) Adding fixed assets from issue journals for another company (form)
Applies To: Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2
Click Fixed assets (Russia) > Journals > Transfer journals > Receipt from another company. Create a new record, and then click Lines. In the Lines of FA transfer journal form, select a fixed asset transfer journal line, and then click Creating fixed assets from transference journal of another company..
Use this form to view the details about closed journals for assets that were transferred to other companies.
Task that uses this form
(RUS) Receive a group of fixed assets from another company
Navigating the form
The following tables provide descriptions for the controls in this form.
Tabs
Upper pane
Tab |
Description |
---|---|
Overview |
View the asset transfer journal details. |
General |
View the journal number and date for the selected transaction. |
Lower pane
Tab |
Description |
---|---|
Overview |
View the details of the fixed asset that was transferred. |
General |
View the source and destination details of the transferred fixed asset. |
Value models |
View the value model details for the transferred fixed asset. |
Buttons
Upper pane
Button |
Description |
---|---|
Copy journal |
Copy information from the specified transfer journal to the receipt journal. |
Lower pane
Button |
Description |
---|---|
Copy journal line |
Copy individual lines from the transfer journal to the receipt journal. |
Fields
Field |
Description |
---|---|
From company |
The name of the company that the fixed asset was transferred from. |
Date |
The date of the journal transaction. |
Journal number |
The journal number for the transaction. |
Company accounts ID |
The company account code for the journal transaction. |
Posted |
A selected check box indicates that the journal is posted. |
Fixed assets |
The transferred fixed asset code for the selected journal transaction. |
Name |
The name of the fixed asset. |
FA inventory number |
The unique identification number for the fixed asset inventory. |
Value model |
The value model code for the fixed asset. |
Balance cost |
The balance cost of the fixed asset at acquisition. |
Booked depreciation |
The depreciation amount for the booked fixed asset. |
Past lifetime |
The actual service lifetime that has ended for the fixed asset. This is calculated in units of the depreciation method. |
See also
(RUS) Receipt from another company (form)
Announcements: To see known issues and recent fixes, use Issue search in Microsoft Dynamics Lifecycle Services (LCS).