This report displays the detailed list of the fixed assets corresponding to the selection criteria specified during the report submission.

It is then possible to obtain, among others:

- a list of the fixed assets entered within a specified period,

- a list of the fixed assets issued within a specified period.

The assets are displayed, classified by company, financial site and accounting code with a sub-aggregation at each break on these criteria.

It is also possible to get a synthesis edition displaying only sub-aggregations by accounting codes, financial site and company.

A general total is displayed in the case of a multi-company edition.

Prerequisite

Access to the report

This report can be accessed from the report menu of the group Fixed Assets - Fixed assets.

It is also called by default from the following functions :

  Fixed assets > Fixed assets > Assets

List of criteria

Parameter

Parameter title

Type

cpydeb

Company limit

CPY

fcydeb

Financial site range

FCY

typdetdeb

Holding type (Local menu Owned, Rented, Leased, Provisional, Concession...)

M3171

ccptdeb

Accounting code range

CAC

accdeb

General account ranges

GAC

accifrsdeb

IFRS" account range

GAC

axe

Analytical dimension type

DIE

secdeb

Dimension range

CCE

acggrpdeb

Family range

FAM

bprdeb

Supplier range

BPR

actdeb

Activity code range

ADI

ugtdeb

UGT range

ADI

plndeb

Invest projets range

ADI

buddeb

Invest budgets range

ADI

datcptdeb

Allocation date range

D4

datmesdeb

Update date range

D4

datsordeb

Disposal date range

D4

refdeb

Asset range

AAS

actif

Active assets (Local menu No, Yes)

M1

detail

Detailed status by asset (Local menu No, Yes)

M1

impselections

Print selections (Local menu No, Yes)

M1

Comments

The data is filtered by site according to the rights  granted to the user on the function GESFAS (Assets).

Miscellaneous

The value entry for the selection parameters is optional. The default values displayed are those entered at the level of the Report dictionary.

When the values are entered, no existence control is carried out. In the case where they do not exist or are not consistent, no edition occurs.

Description of the report

Grouping criteria/classification and aggregation

The assets are displayed grouped and classified by ascending order according to the following criteria:

- Company                             Aggregation per company with page break
- Financial site                      Aggregation per financial site with page break
- Accounting code                 Aggregation per accounting code without page break
- Main asset reference  
- Asset reference                  

Recovered information

The report content varies according to the value entered for the setup: Report detailed per asset (or synthesis report).

  • Header 
     
    The header recalls the following information:

    - Company reference
    - Financial site reference
     
  • Detailed report 

    This report displays 2 lines per fixed asset selected.
     
    On the first line:
     

Information

Loaded from the headings

Table

Reference

AASREF

FAS

Description 1

AASDES1

FAS

Purchase date

PURDAT

FAS

First use date

ITSDAT

FAS

Group

ACGGRP

FAS

CoA account

GAC

FAS

CoA entered value:

ACGETRNOT

FAS

CoA invoiced VAT amount

IVCVATAMT

FAS

CoA recovered VAT amount

DEDVATAMT

FAS

CoA Depreciation basis

DPRBAS

DEP

CoA management currency

ACGCUR

FAS

- On the 2nd line:

Information

Loaded from the headings

Table

Holding type

OWNTYP

FAS

Posting date

AASIPTDAT

FAS

Issue date

ISSDAT

FAS

Accounting code

ACCCOD

FAS

IFRS account

IASACC

FAS

IFRS entered value

IASETRNOT

FAS

IFRS invoiced VAT amount

IVCVATAMTI

FAS

IFRS recovered VAT amount

DEDVATAMTI

FAS

IFRS Depreciation basis

DPRBAS

DEP_1

IFRS management currency

IASCUR

FAS

The report then displays the aggregation lines identical to those displayed below for a synthesis report.

  •  Synthesis report 

    This report displays:
     
    - 2 aggregation lines per shortage on Accounting code, financial site and Company.
    - 2 lines of general total are also displayed in the last page, if the report concerns several companies.
     
    On the 1st line:
     
    - CoA ex-tax Total Entered value
    - Total amount of the CoA invoiced VAT
    -Total amount of the CoA recovered VAT
    -Total Depreciation basis of the chart of accounts
    -Currency

    On the 2nd line:

    - IFRS Ex-tax Total of the value entered
    -Total amount of IFRS invoiced VAT
    - Total amount of IFRS recovered VAT
    -Total depreciation basis of the IAS/IFRS plan
    -Currency

Grids concerned

The data extracted from the following tables are processed by the report FASLIST :

Table

Table description

AFCTFCY [AFF]

Site profile function

COMPANY [CPY]

Company

CONTEXT [CNX]

Contexts

DEPREC [DEP]

Charge

FACILITY [FCY]

Sites

FISCYEAR [FIS]

Fiscal year

FXDASSETS [FAS]

Assets

GACCCODE [CAC]

Accounting codes