Configuring Asset Reconciliation
- Chilukuri Srinivasa Reddy (Unlicensed)
- Shilpa K (Deactivated)
- Mayuresh Balaji Kamble (Unlicensed)
- sivani.sahu (Unlicensed)
What is Asset Reconciliation?
See: Asset Reconciliation
What can you configure?
You can make the following configurations for the Asset Reconciliation process:
- Configure the number of days after which a notification alert should be sent to users and Reporting Managers for Asset Reconciliation.
- Select if Manager approval is required for Asset Reconciliation.
- Set the number of days/reminders after which an escalation should be sent to the user's Reporting Manager.
- Schedule Asset Reconciliation one-time or recurring (using Scheduler, see Field Description)
To configure Asset Reconciliation:
- Select Asset > Configuration > Others > Asset Reconciliation Configuration. The ASSET RECONCILIATION CONFIGURATION page is displayed.
Figure: ASSET RECONCILIATION CONFIGURATION page - Click ADD NEW on the ACTIONS panel to create a new Asset Reconciliation configuration.
- Under the DETAILS tab, specify all the details.
- Select the Requires Scheduler check box if you want to schedule the Asset Reconciliation process using a Scheduler. Click NEXT to configure the Scheduler. For more information about configuring the Scheduler, see Field Description.
Figure: Asset Reconciliation Configuration - SCHEDULER tab - If you do not select the Requires Scheduler check box, you can configure the Asset Reconciliation process without a Scheduler.
Figure: Asset Reconciliation Configuration - DETAILS tab
- Select the Requires Scheduler check box if you want to schedule the Asset Reconciliation process using a Scheduler. Click NEXT to configure the Scheduler. For more information about configuring the Scheduler, see Field Description.
- Click SUBMIT to save the new Asset Reconciliation configuration.
Field Description
The following table describes the fields on the ASSET RECONCILIATION CONFIGURATION page:
Field | Description |
---|---|
DETAILS | |
Tenant | Select the Tenant from the list. |
Reconciliation Name | Specify the Reconciliation Name. |
Description | Specify the description of the Asset Reconciliation. |
Active | Indicates the status of the Asset Reconciliation.
|
Is Manager Approval Required? | Select to send the Reconciliation action for Manager's approval. |
Enable User Notification | Select to send e-mail notifications to the users and managers to accept or reject Assets for Asset Reconciliation. |
Send Reminder for Every | Specify the no.of days to send e-mail reminders to the users and managers to take action for Asset Reconciliation. You can specify the days between 1 to 30. Note: You can specify the reminder days only if Enable User Notification check box is selected. |
Enable Escalation | Select to send an escalation notification for the Asset Reconciliation.
|
Escalate After | Specify the no. of days/reminders after which the escalation notifications are sent to the Reporting Manager. Note: You can configure this field only if the Enable Escalation check box is selected. |
Requires Scheduler | Select this check box to configure the Scheduler for the Asset Reconciliation. |
Show in Inventory | Select this check box to display the Reconciliation Name in the Inventory. You can select the Assets manually in the Inventory and send for Reconciliation. Note: You can select this check box if Scheduler is not required for the Asset Reconciliation. |
SCHEDULER | |
Reconciliation Name | Displays the Reconciliation Name specified on the DETAILS tab. |
Category | Select the category/categories using multi-selection check boxes. |
Request Type | Select the request type from the following options: Store, Floor, and Customer. |
Store/Floor/Customer | Displays based on the selected Request Type. You can select multiple locations for Store/Floor/Customer. |
Enable Exclude Options | Select the options to exclude Assets from the Asset Reconciliation process.
|
Schedule Type | Select the Schedule Type as one-time or recurring. |
Next Reconciliation Date | Select the date on which next Asset Reconciliation should be scheduled. |
Occurs Every | Select the recurring date of the schedule for recurring Asset Reconciliation configurations (monthly or yearly). Note: You can select this field if the Schedule Type is selected as Recurring. |
ACTIONS
This section explains all the icons displayed on the ACTIONS panel of the ASSET RECONCILIATION CONFIGURATION page.
Filters
On the FILTERS pop-up page, select the Tenant, Reconciliation Name, and the Request Type.
SHOW LIST
Click SHOW LIST to display the LIST table showing all the Asset Reconciliation configurations for the selected Tenant.- To modify an Asset Reconciliation configuration, click the configured Reconciliation Name. Make appropriate changes and click SUBMIT.
To display the inactive Asset Reconciliation configuration, click the Include Inactive check box.
Note:
When the Reconciliation Names are displayed under the LIST table, the ADD NEW action is displayed on the ACTIONS panel. Click ADD NEW to configure a new Asset Reconciliation.
Click the icon to print the details.
EXPORT TO EXCEL
Click EXPORT TO EXCEL to export the records displayed on the page to a Microsoft Excel sheet.
EXPORT ALL
Click EXPORT ALL to export all the records to a Microsoft Excel sheet.
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