Enhancements Based on the Asset Reconciliation Configuration
What's New?
Following enhancements are made related to Asset Reconciliation (see: Asset Reconciliation):
Asset Reconciliation Configuration
Now, the Administrators can configure the Asset Reconciliation to escalate the Reconciliation to the reporting manager after specified no.of days/reminders and also can schedule the Reconciliation as one-time or recurring.
Category Wise Reconciliation Settings on the APPLICATION SETTINGS BY TENANT page
Now, the Administrators can configure the Category-wise Reconciliations settings on the APPLICATION SETTINGS BY TENANT page. The following changes are made related to the configured Reconciliation name on the ASSET RECONCILIATION CONFIGURATION page:
- On the ACTIONS panel of the FIXED ASSET page, the RECONCILIATION icon is added with RECONCILIATION pop-up. Using this, the Analysts can reconcile the group of Assets by selecting the specific Reconciliation Name.
Figure: Fixed Assets List page - On the FILTERS pop-up of the RECONCILIATION ASSET REPORT page, new multi-selectable filters, such as Reconciliation Name, Reconciliation Execution Name, and Category are added to filter the reports.
Figure: FILTERS pop-up page - On the Reconciliation History tab of the ASSET DETAILS page, new Reconciliation Name and Reconciliation Execution Name columns are added to display the Assets based on the Reconciliation names.
Figure: ASSET DETAILS page - Reconciliation History tab - On the CUSTOM ACTION page, under MAPPING tab, new Reconciliation Name field is added to map and send bulk Assets for Reconciliation.
Figure: CUSTOM ACTION page - MAPPING tab
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