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  • Position Valued on the Date (ATFR072)

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excludeCONTENTS

01. Overview

This report issues the valued position of the assets on a specific date. This is based on transactions, not on the asset's accounting balance.

Its aim is to state the values of the assets on the date entered, in accordance with transactions and their impact on the account balances that compose the asset.

This information is very much needed in auditing processes, as it makes it possible to issue the position of the company's fixed assets based on the closing of the last fiscal period.

To better view the data, there are several different ways to display the report:

    • Summarized by Account: omits asset data, highlighting account data in tax, managerial and encouraged balances.
    • Summarized by Asset: omits the information of the types of balance of the assets, differentiating the information of the accounts in tax, managerial, and encouraged balances.
    • Detailed by Asset: states balance type data in detail.

02. Procedures

To issue the valued position of the assets on a specific date:

1. When you access Position Val. Date, the system displays a screen with the report parameters.

2. Fill in the parameters in accordance with field help instructions. Note the following:

Type: enter the report format, which can be Detailed, Summarized by Account or Summarized by Asset.

Display Information: the format of the display of information, which can be:

        • Tax: demonstrates the tax information of the asset in detail. Taxes and contributions can be viewed in detail. Total of assets of the types (01, 02, 03, 04, 05, 06, 07, 11, 13).
        • Managerial: demonstrates the managerial information of the assets, merging the information of the accounts so that all values can be visualized. Total assets of the types (10, 12, 17, 4X, 5x)
        • Both: demonstrates the asset information with detailed and total values.
Dica
titleTip

When you enter Yes in the Select Branches parameter, choose the branches that will compose the report.

When you enter Yes in the Select Currencies parameter, choose the currencies that will compose the report.

3. Click Ok.

4. Select the printing format and click Ok.

The Asset data are displayed in the Position valued on the Date, in blocks showing asset details, in accordance with parameter settings.

The first block displays the values on the selected date of the asset, its characteristics, and its current status.

The second block displays the final values per branch, and the third, the general values of the assets.

03. Requirements

Addition and evaluation of Assets.

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