Fixed Asset Transactions
Displays information about business transactions with non-current assets of the business entity, including the asset description, corresponding accounts/sub-accounts used for entries, counterparties, and disclosure of other information.
The data source is FA Ledger Entries. Supplier Code and Supplier Name are populated only for FAs where the transaction type is Invoice and there is a related Posted Purchase Invoice or Purchase Credit Memo.
When generating the preview table, the following fields are populated:
| Field | Description | Source |
|---|---|---|
| Transaction ID | Specifies the unique identifier of the asset transaction. | Entry No. of the FA Ledger Entry. |
| Asset Code | Specifies the inventory number or other unique asset identifier used by the business entity in accounting. | FA No. |
| Asset Description | Specifies the asset name. | Extended Description from the FA card. |
| Transaction Type | Specifies the conventional transaction designation. | Populated from the SAF-T Source Code field of the Source Codes directory according to the Source Code specified in the FA Ledger Entry. |
| Description | Specifies the characteristics of the nature of the transaction. | Populated from the Description field of the FA Ledger Entry. |
| Date | Specifies the transaction date. | Posting Date. |
| Supplier Name | Specifies the name / surname, first name, and patronymic of the counterparty (if available). | Name of the vendor specified on the FA card. |
| Supplier Code | Specifies the unique identification number of the legal entity in the Unified State Register / registration number of the taxpayer's card for an individual / non-resident code. | From the Vendor No. specified on the FA card, the Registration No. (EDRPOU) field is obtained from the Vendor Card. |
| Transaction Code | Specifies the unique transaction identifier defined by the automated software used by the enterprise. | The unique transaction identifier consists of the document number and posting date. |
| Asset Valuation Type | Specifies the group to which the object belongs according to the accounting policy of the business entity. | For all current records, populated with "1" (Accounting). If the Tax Depreciation Book field is populated in FA Module Setup and there are records for this FA in that book, a separate line is populated with value "2" (Tax Accounting). |
| Asset Transaction Amount | Specifies the monetary value of the asset transaction, e.g., net sales proceeds. | Amount (LCY) of the FA Ledger Entry. |
| Document No. | Specifies the primary accounting document number used by the enterprise to process the transaction. | Document No. of the FA Ledger Entry. |
| Account Code | Specifies the account/sub-account/analytical account number according to the chart of accounts of the business entity. | If the amount in the FA Ledger Entry is positive (+), a record is found in the GL Entries table where the Entry No. matches the GL Entry No. from the FA Ledger Entry. The GL Account No. value from the found record is taken. If the amount is negative (−), a record is found in the GL Correspondence Entries table where the Credit Entry No. equals the GL Entry No. from the FA Ledger Entry. The Debit Account from the found record is taken. For cases where the FA entry has only the Value Entry field populated and the GL Entry No. is not populated, data for the FA Ledger Entry table fields is obtained from the Item Ledger - GL Entry Link table by matching records where the Value Entry No. matches the GL Entry No. value from the FA Ledger Entry table. The Account Code is determined from the first found record using the GL Entry No. field of the Item Ledger - GL Entry Link table. |
| Corresponding Account Code | Specifies the corresponding account/sub-account/analytical account number according to the chart of accounts of the business entity. | If the amount in the FA Ledger Entry is negative (−), a record is found in the GL Entries table where the Entry No. matches the GL Entry No. from the FA Ledger Entry. The GL Account No. value from the found record is taken. If the amount is positive (+), a record is found in the GL Correspondence Entries table where the Debit Entry No. equals the GL Entry No. from the FA Ledger Entry. The Credit Account from the found record is taken. For cases where the FA entry has only the Value Entry field populated and the GL Entry No. is not populated, data for the FA Ledger Entry table fields is obtained from the Item Ledger - GL Entry Link table by matching records where the Value Entry No. matches the GL Entry No. value from the FA Ledger Entry table. The Account Code is determined from the last found record using the GL Entry No. field of the Item Ledger - GL Entry Link table. |
| Tax Type | Specifies the tax type according to the directory. | Populated with the tax code for which VAT = Yes in the SAF-T Tax Types directory. |
| Tax Code | Specifies the tax code according to the directory. | Populated from the SAF-T Tax Codes field in VAT Posting Setup for the given VAT Business Posting Group and VAT Product Posting Group. |
| Tax Percentage | Specifies the tax rate as a percentage (if an absolute tax rate does not apply). | Populated from the VAT % field in VAT Posting Setup for the given VAT Business Posting Group and VAT Product Posting Group. |
| Tax Base | Specifies the tax base amount. | Populated from the Base field of the VAT Entry for the given FA transaction. |
| Tax Amount | Specifies the tax amount. | Populated from the Amount field of the VAT Entry for the given FA transaction. |
| Total Amount | Specifies the monetary valuation of the total value. | Amount (LCY) of the FA Ledger Entry. |