AM20.4 – Books

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

AM20.4 (Books) is a Lawson Asset Management online screen (form 20, subform 4). 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 AM20.4

Use Books (AM20.4) to assign depreciation books and depreciation parameters to a new asset, or to modify book assignments for existing assets. Any books defined as required on Current Calendar (AM01.1) display automatically on this form. You can associate an unlimited number of books to an asset. **Process at a Glance 1. Define asset header and detail information using AM20.2. 2. Define asset item information using AM20.3. 3. (This step) 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). **Processing Effect Many of the fields on this form are defaulted from other forms. You can acceptthem as is or modify them. If you create an asset in a period later than the period when the asset was placed in service, you can use the Compute Option field to define how to distribute the catch-up depreciation. You can spread the whole year's depreciation over the remaining periods in the current year (Compute Option = No) or you can spread the depreciation over the entire year, and charge the entire catch-up depreciation amount to the current period (Compute option = Yes). If you are adjusting an existing asset, you can use the Compute Option field to define how to distribute the adjusted depreciation amounts. Besides the two previous options, you have one additional compute option: You can spread the catch-up adjustments amounts over the remaining life of the asset (Compute Option = Prospective). You can assign a different in-service date and compute option to each book that the asset uses. The depreciable basis defaults from the total item cost. The in-service date defaults from the item purchase date. If multiple items with different purchase dates are entered, the latest purchase date defaults. The in-service convention defaults from the book definition (defined in AM00.1). All default information can be overridden.

More information: You can use the Detail tabs to enter optional information specific to a book. Use the Depreciation detail tab to enter year-to-date and life-to-datedepreciation amounts, and to override the asset compute option. Use the Depreciation Option detail tab to indicate the depreciation method used if business use falls below a specified percentage. Use the Insurance andReplacement detail tabs to specify the method used to calculate insurance and replacement values. And Use the Tax option detail tab to enter tax credit information.

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