Visma Net
Fixed asset transactions (FA301000)
This topic gives you information about the elements that you find in this window in Visma Net, such as fields, field values, buttons, and check boxes.
By using this window, you can create, view, edit, delete, and release fixed asset transactions.
If you are in the list window, the first line in the table is a search line. Each column has a search field which you can click to search for or filter on specific values and narrow down the displayed table rows. You can search and filter in as many columns as you need to, to only display the results you want to view.
There are two types of search fields:
- White: here you can type a specific search term to display results in this column containing this exact value. If you search on several (partial) words, you can separate them by a space or % and get different results:
space: the result contains the words in any order,
%: the result contains the words in the specific order, and the % functions as a wildcard as well.
- Grey: you can click this to open the column filter pop-up window where you can filter the results for this column.
Button | Description |
---|---|
Release |
Releases the transaction and changes its status to Unposted or Posted, depending on the settings in the Fixed assets preferences (FA101000) window. Only balanced transactions
can be released.
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In the top part of the window, you can enter information for a new transaction or select an existing one for release.
Element | Description |
---|---|
Reference number | The reference number identifying the transaction in the system. |
Document date | The date when the transaction document was created. By default, the current date is specified, but you can change it. |
Document total | The total amount for the transactions. |
Status | A read-only info box that shows the status of the transaction
document:
|
On hold | A check box that indicates (if selected) that the status of the transaction document
is On hold. Clear the check box to allow release of the document. |
Origin | Read-only. The way the transaction was entered into the system:
|
Description | A description of the transaction. |
This table contains transaction details, with each row defining one transaction detail.
Column | Description |
---|---|
Asset | The fixed asset affected by the transaction. |
Description | A description of the asset. |
Book | The book to which the asset is assigned. |
Transaction type |
A brief description of the transaction. For more information, see: About types of fixed asset transactions |
Debit account | The account to be debited by this transaction. |
Description | The user-provided description of the account. |
Debit subaccount | The subaccount to be debited by this transaction. |
Description | The user-provided description of the subaccount. |
Credit account | The account to be credited by this transaction. |
Description | The user-provided description of the account. |
Credit subaccount | The subaccount to be credited by this transaction. |
Description | The user-provided description of the subaccount. |
Transaction amount | The amount of the transaction. |
Batch no. | The batch, by its identifier, generated for the book that updates the General Ledger. |
Transaction description | The description of the transaction. |
Trans. period |
The financial period in the book to which the transaction should be posted. The period is calculated based on the document date; however, you can select another period from the list. |
Method | The statute-allowed benefit that is used to depreciate the asset, which is one of the
following options:
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