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titleSummitAI Asset Management

SummitAI Asset Management

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titleConcepts

Application Control

Asset Integration

Asset Physical Verification

Asset Reconciliation

Asset Types

Consumable Vs. Accessories

Hardware Variance

Remote Desktop

Software Variance

Software Delivery and Uninstallation

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titleAnalysts

Analysts

Asset Dashboard

Searching Users

Searching Assets

My Assets

Reconciling Assets

Asset Inventory

Fixed Assets

Consumable_AM

Accessories

Software

Variance

Viewing Hardware Variance

Viewing Software Variance

Viewing New Discovery

Verifying Scanned Assets

Import

Importing Assets

Updating Assets

Importing and Allocating Assets in Bulk

Activating or Deactivating and Moving Assets in Bulk

Approvals

Verifying Asset Reconciliation

Approving Asset Movements

Printing Gate Pass

Approving Asset Deactivation

Approving Physically Verified Assets

Reconciling Store Wise Assets

Approving Store Wise Reconciled Assets

Approving Asset Using Maker-checker

Contract Management

Adding Contract or Agreement Details

Software Delivery

Configuring Software Package

Configuring Software Delivery Schedule

Viewing Software Delivery Status

Viewing Software Uninstallation Report

Allocating or Deallocating Licenses

Patch Reports

Asset Physical Verification

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titleAdministrators

Administrators

Configuring Asset Management Module

Configuring Asset Category Using Form Builder

Configuring My Asset List Page

Custom Scheduler Jobs

Asset Masters

Configuring Location And Store

Configuring Asset Purpose

Configuring Action Attribute

Configuring Fault Type

Configuring Solution Type

Configuring Notifications and Templates

Configuring Allocation Form Template

Configuring Key Field Mapping

Configuring Data Templates

Configuring Field Display Order on Fixed Asset List Page

Software

Software Request Mapping Form

Adding/ Updating Software

License Mapping

Blacklisting Software

Configuring Software Baseline Profiles

Software Baseline Profile Mapping

Configuring Software License

License Key Mapping

Depreciation

Configuring Depreciation Formula

Configuring GAAP Depreciation

Configuring Depreciation Field Mapping

Configuring Custom Depreciation Formula

Mapping

Discovery Mapping

Configuring CMDB Mapping

Procurement Mapping

Account Mapping

Configuring Custom Hardware Variance

Mapping ServiceNow Category

Application Control

Creating and Updating Profile

Mapping Profiles

Configuring Application Control Messages

Configure Software and Executable Execution Type

Viewing Software Process List

Endpoint Compliance

Endpoint Dashboard

Viewing Endpoint Profile List

Configuring Endpoint Profile

Viewing Dynamic Endpoint

Configuring Dynamic Endpoint

Mapping Endpoint Profile

Patch Management

Viewing Patch List

Creating Asset Groups

Configuring Patches

Others

Configuring Asset Application Settings

Configuring Asset Movement

Configuring Asset Alerts

Configuring Store Threshold

Configuring Asset Scan Domain List

Configuring Local Password Management

Configuring E-mail Notifications

Configuring Asset Integration Details

Configuring Additional Discovery

Scheduling Asset Physical Verification

Configuring Product Price

Adding Software Deployment Profile

Approval Matrix

Configuring Approval Matrix

Configuring Approver Role

Mapping Approver

Deactivation Approval Matrix

Configuring Deactivation Approval Matrix

Configuring Approver

Configuring Location-Wise Approvers

SUMMIT Software Center

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titleReports

Viewing Reports

You can configure the Allocation Form for Fixed Assets. The user can view or print the allocation form on theAssets by User report.

To configure the Allocation Form Template:

  1. Select Asset > Configuration > Asset Masters > Asset Allocation Template Configuration.

  2. On the ASSET ALLOCATION TEMPLATE CONFIGURATION page, select the Tenant, Category and Store. In the User Allocation Form, fill the required details. For more information, see Field Description.

    ASSET ALLOCATION TEMPLATE CONFIGURATION page
    Figure: ASSET ALLOCATION TEMPLATE CONFIGURATION page

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Field Description
Field Description
Field Description

The following table describes the fields on the ASSET ALLOCATION TEMPLATE CONFIGURATION page:

Fields

Description

Tenant

Select the Tenant from the list.

Category

Select the Category from the list.

Store

Select the Store from the LOCATION tree.

Active

Select the Active check box to specify the template as active. If it is not selected, the specified template is inactive and is not enabled for Asset allocation.

User Allocation Form

Show HTML

Click the Show HTML hyper link to view the HTML format for the specified Asset Allocation Form. To view the specified text again, click the Show Editor hyperlink.

Date

Specify the Date on which the Asset is allocated to the User.

User Name

Specify the name of the User.

Emp ID

Specify the Employee ID of the User.

Tenant

Specify the Tenant of the User.

Email ID

Specify the E-mail ID of the User.

Login ID

Specify the Login ID of the User.

Category name

Specify the name of the Asset Category.

Asset ID

Specify the Asset ID of the Asset that is allocated to the User.

Asset Code

Specify the Asset Code.

Asset Location

Specify the location of the Asset where it is allocated to the User.

Asset Details

Specify the Asset details along with their description in the table.

Declarations

Displays the declaration by the User while receiving the Asset. The Declaration contains all the terms and conditions related to the usage of Asset.

IT Engineer Name

Specify the IT Engineer's name who allocated the Asset to the User.

Receiver's Name

Specify the User's name who received the Asset from the IT Engineer.

IT-Engineer Sign & Date

Specify the signature of the IT Engineer along with the date of allocation of the Asset.

Receiver's Sign

Specify the signature of the User who received the Asset from the IT Engineer.

Allocation Template Details

Displays the list of allocation template details. Click the Category Name hyperlink to modify the respective template details.

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