AMASSETCNV FILE Asset Conversion This file contains non-Lawson asset information to be converted to the Lawson Asset Management system. REFERENCED BY AM97.1 AM98.1 UPDATED BY AM500 AM96.1 FIELD NAME DESCRIPTION/VALID VALUES UPDATED BY ACN-CONVERSION-NBR Alpha 10 AM96.1 Conversion Number Required key. This is the unique number to ensure that each record is unique. This number also determines the order in which assets are added. ACN-DESCRIPTION Alpha 30 (Lower Case) AM96.1 Conversion Number This is the conversion number Description description. ACN-TAG-NBR Alpha 12 AM96.1 Tag Number This is the tag number for the asset. ACN-ASSET-GROUP Alpha 10 AM96.1 Asset Group An asset group allows you to group related assets that need to depreciate separately; for example, a new roof on a factory building. The building is depreciated over 30 years, but the new roof is depreciated over 15 years. ACN-ASSET-CATEGORY Alpha 1 AM96.1 Asset Category This is the asset category: depreciable or nondepreciable. ACN-SIMULATED Alpha 1 AM96.1 Simulated This field indicates whether the asset is simulated. Simulated assets are imitative representations, not real assets. They can be used to experiment and test strategies. The default for this field is No. ACN-WORK-IN-PROC Alpha 1 AM96.1 Work-in-Process This field indicates whether the asset is a work-in-process asset. Work-in-process assets are real but not yet complete. If this field is Yes, the asset is on hold and cannot be released. The default for this field is No. ACN-TAX-EXEMPT Alpha 1 AM96.1 Tax Exempt This field indicates whether the asset is tax exempt. The default is No. ACN-USED Alpha 1 AM96.1 Used This field indicates whether the asset is used. The default is No. ACN-CURRENCY-CODE Alpha 5 AM96.1 Currency Code This is the base currency defined for the company in the Lawson General Ledger system. ACN-COMPANY Numeric 4 AM96.1 Company This is the company number for the asset. ACN-LOCATION-NAME Alpha 15 AM96.1 Location Name This is the location for the asset. ACN-DIVISION Alpha 15 AM96.1 Division This is the division for the asset. ACN-ASSET-TYPE Alpha 10 AM96.1 Asset Type This is the asset type. Asset types are user-defined and represent a grouping of like assets. Asset types are used to group assets into reporting classes and to default common asset definition data. ACN-SUB-TYPE Alpha 10 AM96.1 Asset Subtype This is the asset subtype. An asset subtype represents a more detailed grouping of assets within an asset type. Asset subtypes are used to group assets into reporting classes and allow common asset definition data to default. ACN-ACCT-GRP Alpha 10 AM96.1 Account Group This is the account group for the asset. Account groups are user-defined and are used to identify the general ledger accounts used to create journal entries when assets are processed (added, adjusted, transferred, or disposed of). ACN-ACCT-UNIT Alpha 15 AM96.1 Accounting Unit This is the accounting unit associated with the asset. The accounting unit must be defined in the General Ledger Names file as a posting accounting unit. ACN-AU-GROUP Alpha 10 AM96.1 Accounting Unit Accounting unit groups group and Group identify the accounting units to use when you create journal entries for adding, adjusting, transferring, or disposing of assets. Changes to accounting unit groups are dynamic, affecting all assets using the accounting unit group. Accounting unit group names are user-definable, and accounting unit groups are set up by company. ACN-DEP-EXP-ACTVTY Alpha 15 AM96.1 Depreciation This is the override depreciation Expense Activity expense activity, which overrides any depreciation expense activity set up on AM06.1 (Type). This is the depreciation expense activity used for posting. ACN-DEP-ACCT-CAT Alpha 5 AM96.1 Depr Expense This is the override depreciation Account Category expense account category, which overrides any depreciation expense account category set up on AM06.1 (Type). This is the depreciation expense account category used for posting. ACN-SEGMENT-BLOCK Alpha 103 AM96.1 User Analysis This field identifies the user analysis values included in the transaction. You can either type up to four values or use Define (F6) to open the User Analysis Entry subform. Use this subform to select the user analysis values you want to include in the transaction. If you choose to type values, use commas to separate them. For example: value1,value2,value3,value4 There are three conditions that affect how you can select user analysis values. See the User Analysis Entry form help or the Strategic Ledger procedures manual for additional information. AMASSETCNV FILE INDEX NAME KEY FIELDS DESCRIPTION / SUBSET CONDITION USED IN ACNSET1 CONVERSION-NBR AM500 AM96.1 AM97.1 AM98.1 ACNSET2 COMPANY KeyChange AM500 CONVERSION-NBR AMASSETCNV FILE RELATIONS ONE TO ONE RELATIONS RELATION RELATED NAME FILE INTEGRITY RULES / FIELD MATCH Amcnvasset AMCNVASSET Not Required ACN-CONVERSION-NBR -> CVA-CONVERSION-NBR AMASSETCNV FILE RELATIONS ONE TO MANY RELATIONS RELATION RELATED NAME FILE INTEGRITY RULES / FIELD MATCH Amastbkcnv AMASTBKCNV ACN-CONVERSION-NBR -> ABC-CONVERSION-NBR ABC-BOOK Amastitcnv AMASTITCNV ACN-CONVERSION-NBR -> ITC-CONVERSION-NBR ITC-SEQ-NUMBER Amastmxcnv AMASTMXCNV ACN-CONVERSION-NBR -> MCV-CONVERSION-NBR MCV-MATRIX-CAT |