AM20.2 – Additions and Adjustments

System
Asset Management (AM)
Type
Online screen — form 20
Updates
45 tables
References
32 tables

AM20.2 (Additions and Adjustments) is a Lawson Asset Management online screen (form 20, subform 2). It updates ADDRDATA, AMACCOUNT, AMACCTAU, AMACCTGPAU, AMACCTGRP, AMASSET, AMASSETADJ, AMASSETDSP and 37 more and references AMASSETBOD, AMASSETDSP, AMASSETTRF, AMASTBKDSP, AMASTBKTRF, AMASTITDSP, AMASTITTRF, AMASTMXVAL and 24 more.

About AM20.2

Use Additions and Adjustments (AM20.2) to add an asset manually or modify existing asset information. This program is required if you do not use addition templates or if you add more than seven items. **Process at a Glance 1. (This step) Define asset header and detail information. 2. Define asset item information using AM20.3. 3. Assign asset books using AM20.4. 4. Access, change, or delete system-prompted journal entries on AM20.5. 5. (Optional) Verify assets using AM220 and modify as needed using steps 1 though 4. 6. Release assets in batch (using AM170) or individually (using AM20.2, AM20.3, or AM20.4).

More information: If you do not enter an accounting unit group, you must enter a default accounting unit to be used for all accounts defined for the asset type and account group you associate with the asset. If you enter an accounting unit group, but some of the fields in the accounting unit group are left undefined, you must also enter a default accounting unit group to be used for those undefined fields. For asset class depreciation, proper implementation is critical to avoid over-depreciation. If you use the class depreciation solution, you must strictly follow the one-on-one correlation between a type and the set of General Ledger accounts used by an asset class. For instance, you should not set up class-depreciated assets that use the same asset account (that is, company, accounting unit, account) but have different accounts for depreciation expense and accumulated depreciation. Thus it is incorrect to setup accounting unit groups that leave the depreciation expense or accumulated depreciation accounting units blank, allowing users to send depreciation amounts to multiple accounting units and accounts. When you first add an asset, the program automatically guides you through the process by navigating to the appropriate form. When you modify an asset, you must open the appropriate forms; only AM20.5 will be prompted automatically. Click the Attributes button to open Asset Attributes (AM23.1) and assign asset attributes to an existing asset. Choose the Repairs button to open Repairs (AM20.6) and define repair information for an existing asset. Click the Projections button to open Projections (AM20.7) and view depreciation projections for a book and company. AM20.7 is a stand-alone program that runs independently of any asset.

Updated files (45)

TableDescriptionSystem
ADDRDATAAddress CodeIF
AMACCOUNTAsset Management AccountAM
AMACCTAUAsset Account AuditAM
AMACCTGPAUAsset Account Group AuditAM
AMACCTGRPAsset Account GroupAM
AMASSETAssetAM
AMASSETADJAsset AdjustmentAM
AMASSETDSPAsset DisposalAM
AMASSETGRPAsset GroupAM
AMASSETTRFAsset TransferAM
AMASTBKADJAsset Book AdjustmentAM
AMASTBKDSPAsset Book DisposalAM
AMASTBKTRFAsset Book TransferAM
AMASTBOOKAsset BookAM
AMASTITADJAsset Item AdjustmentAM
AMASTITDSPAsset Item DisposalAM
AMASTITEMAsset ItemAM
AMASTITTRFAsset Item TransferAM
AMASTMXVALAsset AttributesAM
AMASTRECAPAsset Depreciation RecaptureAM
AMASTRPAIRAsset RepairAM
AMASTTYPAUAsset Type AuditAM
AMASTTYPEAsset TypeAM
AMAUGROUPAsset Accounting Unit GroupAM
AMAUGRPAUAM Accounting Unit Group AuditAM
AMBKHISTAsset Book HistoryAM
AMBKHISTXPeriod Asset Book HistoryAM
AMBKTRANSAsset Book TransactionsAM
AMCALENDARAsset CalendarAM
AMCLASSDEPThis file contains the depreciation information for account level depreciation to support Telecommunications Industry…AM
AMCNTRLAUAsset System Options AuditAM
AMCONTROLAsset Internal ControlAM
AMCTLTRANSAsset Control TransactionAM
AMDIVISIONAsset DivisionAM
AMDIVISNAUAM Division AuditAM
AMLOCATIONAsset LocationAM
AMLOCAUDITAM Location AuditAM
AMMONITORNo description in the Lawson data dictionaryAM
AMPUHISPersonal Use HistoryAM
AMSEGBLOCKNo description in the Lawson data dictionaryAM
AMTAXAUTHTax AuthorityAM
AMTRANSAsset TransactionAM
AMTRANSUMMAsset Transaction SummaryAM
MXLISTHDRAttribute List HeaderIF
SYSTEMCODESystem CodeIF

Referenced files (32)

TableDescriptionSystem
AMASSETBODNo description in the Lawson data dictionaryAM
AMASSETDSPAsset DisposalAM
AMASSETTRFAsset TransferAM
AMASTBKDSPAsset Book DisposalAM
AMASTBKTRFAsset Book TransferAM
AMASTITDSPAsset Item DisposalAM
AMASTITTRFAsset Item TransferAM
AMASTMXVALAsset AttributesAM
AMASTRPAIRAsset RepairAM
AMBOOKAsset Book NameAM
AMCOMPUTEComputeAM
AMLOCDTLLocation DetailAM
AMMETHODAsset MethodAM
AMPUCODEAsset Personal Use CodeAM
AMTABLEPCTPercent TableAM
AMTABLETAXAsset Management Tax TableAM
AMTRANSBODNo description in the Lawson data dictionaryAM
AMTYPALLOCThe The Asset Management Type Allocation file stores the allocation history for a type (type and subtype).AM
AMTYPALLOXThe Asset Type Allocation Detail file stores the accounting units and percentages for each company, asset type (or…AM
AMUOPPDSUnits of Production PeriodsAM
CUCONVCurrency Exhange RateIF
CURELATCurrency RelationshipsIF
GLADDRESSGeneral Ledger Company AddressIF
GLCGCPYCompany Group CompanyIF
GLCHARTGeneral Ledger ChartIF
GLCODESGeneral Ledger CodesIF
GLSYSTEMGeneral Ledger CompanyIF
INSTCTRYCDIntrastat Country CodesTX
LMLEASELease InformationLM
LMLEASESEGThis file stores the user analysis values for a lease.LM
MXOBJCATAttribute ObjectIF
WFSETUPNo description in the Lawson data dictionaryWF

Program calls

Invoked programs (21)

ACAC, ACTA, AMCO, API4, GLCC, IFAC, IFAU, IFCU, IFFC, IFGT, IFLU, IFOB, IFRS, IFSC, IFSG, IFUP, SLFD, SLSB, SLSE, SLSS, SLSU