My Assets
- sivani.sahu (Unlicensed)
- Shilpa K (Deactivated)
- Mayuresh Balaji Kamble (Unlicensed)
You (End Users) can view the list of Assets allocated to you on the USER DASHBOARD page (Dashboard > OTHERS > MY ASSETS). You can accept, reject, or return the Assets assigned or allocated to you.
Note:
If you select a theme for which End User Dashboard is enabled on the THEME CONFIGURATION page, the User Dashboard page is displayed as configured. For more information about the THEME CONFIGURATION, see SummitAI Platform.
Figure: User Dashboard
Section 1
This section displays the icons on the Quick Action Bar. For more information on the icons, see Describing the User Interface in SummitAI Platform.
Section 2
The following table explains the icons are displayed in this section:
Icon | Description |
---|---|
Click this icon to view the Dashboard links. Click the links to view the respective Dashboard. | |
Click this icon to view the list of Service Catalogs. Click the Catalog to create a Service Request for using the same catalog. The list is displayed based on the configuration on THEME CONFIGURATION page. For more information, see SummitAI Platform Help. |
Section 3
This section displays the Global Search box. For more information, see Global Search in SummitAI Platform.
Section 4
This section displays the links configured on the THEME CONFIGURATION page. You per perform various actions using these links.
Note:
The icons and links displayed on this page is configurable. For more information see SummitAI Platform Help.
To view the Asset list:
- Select Dashboard. The DASHBOARD page is displayed.
Figure: USER DASHBOARD page: MY ASSETS - Click USER DASHBOARD. The USER DASHBOARD tab is displayed.
- Under OTHERS section, click MY ASSETS. The MY ASSET LIST page is displayed. On the MY ASSET LIST page, you can view the list of Assets assigned or software entitled to you. You can select the view from the grid by selecting Tile View or Tabular View icons.
Figure: MY ASSET LIST page - Fixed Asset
Figure: MY ASSET LIST page Accessories & Consumable
Figure: MY ASSET LIST page - Software - On the ACTIONS panel, click Filters and the FILTERS pop-up page is displayed.
On the FILTERS pop-up page, select the asset type from the Asset Type drop-down list and click SUBMIT.
Note:
The Asset Type drop-down list displays the asset types configured on the TENANT page. If the User is configured in multiple Instances, all the asset types configured for that User are displayed in the drop-down list. If the User is configured with an asset type and no asset from that asset type is allocated to him, the configured asset type is not displayed in the Asset Type drop-down list on the FILTERS pop-up page.
Select the Asset you want to accept, reject, or return to the store and click the respective icon on the ACTIONS panel. For more information about the fields on the MY ASSET LIST page, see Field Description.
Note
If the Asset Allocation E-mail parser feature is enabled, the user can accept or reject the Asset Allocation request through an E-mail. To enable the E-mail parsing for Asset Allocation, see Application Setting By Tenant. To configure the E-mail parsing, see Configuring Mailbox and Notification Parse in SummitAI Platform.
Field Description
The following table describes the fields of the FIXED ASSET LIST on the MY ASSET LIST page:
Field | Description |
---|---|
Select | Select the check box corresponding to an Asset to accept, reject, or return the Asset. |
Status | Displays the status of the Asset. |
Asset ID | Displays the unique ID for the Asset. |
Asset Type | Displays the Type of the Asset. |
Category | Displays the Category of the listed Asset. |
Asset Code | Displays the Asset code of the Asset. |
Serial Number | Displays the serial number of the Asset. |
Host Name | Displays the host name of the Asset. |
Asset Location | Displays the Location of the Asset. |
Allocated Type | Displays the type of allocation for the Asset. |
Allocated Date | Displays the date when the Asset is allocated. |
Allocation Status | Displays the status of the allocated Asset. |
Remark | Displays the remarks, if any. |
Request ID | Displays the Request ID for the Asset. |
Make | Displays the Manufacturer details of the Asset. |
Model | Displays the Model of the Asset. |
IP Address | Displays the IP Address of the Asset. |
Asset Usage Type | Displays the usage type of the Asset. |
Note
The fields on the MY ASSET LIST page depend upon the configuration done by the Administrator. For more information, see Configuring My Asset List Page.
The following table describes the fields of the Accessories & Consumables on the MY ASSET LIST page:
Field | Description |
---|---|
Select | Select the check box corresponding to an software to accept, reject, or return the software . |
Status | Displays the status of the software . |
Asset ID | Displays the unique ID for the Asset. |
Asset code | Displays the code of the Asset. |
Category | Displays the Category of the listed Asset. |
Asset Type | Displays the type of the Asset. |
Location | Displays the location of the Asset |
Store | Displays the store location of the selected Asset. |
Allocation Quantity | Displays the allotted quantity of the Asset. |
Allocation Type | Displays the type of allocation for the Asset. |
Allocation Status | Displays the status of the allocated Asset. |
Remarks | Displays the remarks, if any. |
Request ID | Displays the Request ID of the Asset. |
Allocated Date | Displays the date when the Asset is allocated. |
Attribute Name | Displays the Attribute name of the Asset |
Attribute value | Displays the Attribute Value of the Asset. |
Asset Usage Type | Displays the usage type of the Asset. Note: Asset Usage type is not applicable for Software. |
Note:
This Software tab displays details of allocated Device-based licenses, Blacklisted software and User based licenses under the Software tab. The Blacklisted Software and Allocated Software tabs are displayed under the Software tab based on configuration done on the Asset Management APPLICATION SETTING BY TENANT page.
The following table describes the fields of the Software on the MY ASSET LIST page:
Field | Description |
---|---|
Select | Select the check box corresponding to an Asset to accept, reject, or return the Asset. |
Status | Displays the status of the Asset. |
Asset ID | Displays the unique ID for the Asset. |
Asset code | Displays the code of the software . |
Category | Displays the Category of the listed software . |
Asset Type | Displays the type of the software . |
Location | Displays the location of the software allocated Asset |
Store | Displays the store location of the selected Asset. |
Allocation Quantity | Displays the allotted quantity of the Asset. |
Allocation Type | Displays the type of allocation for the Asset. |
Allocation Status | Displays the status of the allocated Asset. |
Remarks | Displays the remarks, if any. |
Request ID | Displays the Request ID of the Asset. |
Allocated Date | Displays the date when the Asset is allocated. |
Attribute Name | Displays the Attribute name of the Asset |
Attribute value | Displays the Attribute Value of the Asset. |
ACTIONS
This section explains all the icons displayed on the ACTIONS panel of the MY ASSET LIST page.
ACCEPT
Note:
The icons on the ACTIONS panel are displayed based on the configuration done by the Administrator. For more information, see Configuring My Asset List.
Select the Asset and click the ACCEPT icon to accept the Asset allocated to you. The ACCEPT ASSET pop-up page is displayed.
To accept the asset the end user should perform the following actions:
- Select the asset usage type from the drop-down list
- Type in the remarks
- Select the check box to acknowledge the terms of conditions and click ACCEPT.
Figure: ACCEPT ASSET pop-up page
Note:
- When the assets are linked with service request, the Asset and User details are displayed on the SERVICE REQUEST DETAIL page. For more information about the SERVICE REQUEST DETAIL page, see Viewing/Updating Service Request Details in Service Management.
- User can read the complete context of terms and conditions by clicking the hyperlink.
- The terms & conditions check box is available on the Accept Asset pop-up based on the configuration performed on the Application Setting.
REJECT
Select the Asset and click REJECT icon to reject the Asset allocated to you. The REJECT ASSET pop-up page is displayed. Specify the remarks and click REJECT.
Figure: REJECT ASSET pop-up page
RETURN
Select the Asset and click RETURN icon to return the Asset. A confirmation message is displayed. Click OK to confirm.
RECONCILIATION
After the Assets are sent for Reconciliation, the End Users need to acknowledge those Assets (Sending Assets for Reconciliation). Click RECONCILIATION to accept or reject an Asset that is sent to you for Reconciliation. For more information about accepting or rejecting an Asset,
Select the Asset that you want to accept or reject, and then click RECONCILIATION on the ACTIONS panel. Alternatively, if the Assets are displayed in Tile View, you can click the icon on the Asset tile.
Note:
The RECONCILIATION icon is displayed on the ACTIONS panel only when you select an Asset that is sent for Reconciliation.
Figure: MY ASSET LIST page: Reconciliation icon
The ASSET RECONCILIATION page is displayed. On the ASSET RECONCILIATION page, in the Action field, select the action that you want to perform on the Asset, and specify the remarks, if any.
Figure: ASSET RECONCILIATION page -Allocation Info (Revoke)
Figure: ASSET RECONCILIATION page - Location Info (Reject)
The following table describes the fields on the ASSET RECONCILIATION page:
Field | Description |
---|---|
Allocation Info | Displays the Allocation details of an Asset. |
Configuration Info | Displays the Configuration details of the allocated Asset. This tab is displayed based on the configuration from APPLICATION SETTINGS BY TENANT page. |
Location Info | Displays the Location details of the allocated Asset. This tab is displayed based on the configuration from APPLICATION SETTINGS BY TENANT page. Note: The Manager can view the modified location details provided by the user while rejecting or accepting the reconcile Asset on the REPORTEE ASSET DETAILS pop-up page. For more information, see Verifying Asset Reconciliation. |
Action | Select the Action that you want to perform the reconciled Asset. You can configure the these Action fields on the APPLICATION SETTINGS BY TENANT page.
Note:
|
Asset Purpose | Select the reason of allocating the Asset to the specified user in the Allocation Details section. The Asset Purpose drop-down list is displayed in the following conditions:
|
Rejection Type | Select the reason of rejecting the Asset. You can select either Not Available or Need to Deactivate/Dispose. Note: The Rejection Type drop-down list is displayed only when you select Reject in the Action drop-down list of the Allocation Details section. |
Attachment | Upload the supporting documents, if any Note: The Attachment field is displayed in the following conditions:
|
New Floor | Search and select the correct Floor of the reconciled Asset whenever the reconciled Asset is rejected due to the incorrect Floor. Note: The New Floor field is displayed only when you select Reject in the Action drop-down list of the Location Info section. |
New Cubicle | Specify the correct Cubicle of the reconciled Asset whenever the reconciled Asset is rejected due to the incorrect Cubicle number. Note: The New Cubicle field is displayed only when you select Reject in the Action drop-down list of the Location Info section. |
Remarks | Specify the remarks, if any. |
Click SUBMIT to send the Asset to the Manager for verification. For more information about the verification process of a reconciled Asset, see Verifying Asset Reconciliation.
UPDATE ASSET USAGE TYPE
Select the Asset and click UPDATE ASSET USAGE TYPE icon to update the usage type of the allocated Asset. Specify the Asset Usage type from the drop-down list, remarks and click SUBMIT to update the asset usage type of the allocated Asset.
Figure: UPDATE ASSET USAGE TYPE pop-up
Note:
- Once the user updates the asset usage type, the Administrator is notified about the modification and the same changes are captured on the Audit Trail tab.
- User can update the Asset usage status during any of the following phases:
- Pending for Acceptance
- Pending for return
- asset reconciliation state
EXPORT TO EXCEL
Click EXPORT TO EXCEL to export the record displayed on this page to a Microsoft Excel sheet. This is possible only when the page is viewed in Tabular View.
EXPORT ALL
Click EXPORT ALL to export all the records to a Microsoft Excel sheet. This is possible only when the page is viewed in Tabular View.
Accessories Asset Allocation E-mail
Asset Project Allocation E-mail
Consumable Asset allocation E-mail
Asset Customer Allocation E-mail
Asset Location Allocation E-mail
Software Asset Allocation E-mail
User Acceptance - Acknowledgement E-mail
Invalid E-mail Subject
Invalid User Action E-mail
Unauthorized User Action E-mail
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