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Assets Concurrent Programs

Oracle Assets Concurrent Programs

CONCURRENT PROGRAM SHORT CODE CONCURRENT PROGRAM NAME
FAS443 Form 4797 – Gain From Disposition of 1245 Property Report
FAS444 Retired Assets Without Property Classes Report
FAS460 Property Tax Report
FAS480 Tax Reserve Ledger Report
FAS490 Asset Additions Responsibility Report
FAS500 Asset Disposals Responsibility Report
FAS520 Tax Retirements Report
FAS530 Transaction History Report
FAS540 Tax Additions Report
FAS551 Depreciation Projection Report #5
FAS561 Depreciation Projection Report by Cost Center #38
FAMACH Mass Change Program
FAMTFR Mass Transfer
FAMACR Mass Additions Create
FAMAUP Mass Additions Update
FAMAPT Mass Additions Post
FAMADEL Mass Additions Delete
FAS822 Mass Additions Create Report
FAS824 Mass Additions Posting Report
FAS828 Delete Mass Additions Preview Report
FAS829 Mass Additions Delete Report
FAS590 Investment Tax Credit Report
FAS600 Asset Register Report
FAS700 Assets Not Assigned To Any Books Listing
FAS710 Assets Not Assigned To Any Cost Centers Listing
FAS720 Asset Tag Listing
FAS730 Asset Description Listing
FAS740 Asset Reclassification Report
FAS750 Asset Category Listing
FAS770 Form 4562 – Depreciation and Amortization Report
FAS780 Assets By Category Report
FAS811 Mass Transfers Preview Report
FAS823 Mass Additions Status Report
FAS826 Mass Additions Purge Report
FAS833 Unposted Mass Additions Report
FAS840 Cost Adjustments Report
FAS860 Mass Change Preview Report
FAS861 Mass Change Review Report
FAS870 Reserve Adjustments Report
FAS910 Depreciation Rates Listing
FAS930 Leased Assets Report
FAS955 Budget-to-Actual Report
FAS956 Budget Report
FASAMTXD Form 4626 – AMT Detail Report
FASAMTXS Form 4626 – AMT Summary Report
FASANADD Annual Additions Report
FASCEILG Ceiling Listing
FASCOSTD Cost Detail Report
FASCOSTS Cost Summary Report
FASEXPRP Expensed Property Report
FASITCRT ITC Rates Listing
FASNDPRP Non-Depreciating Property Report
FASPARAS Parent Asset Report
FASRSVED Reserve Detail Report
FASRSVES Reserve Summary Report
FAS445 Form 4797 – Gain From Disposition of 1250 Property Report
FAS446 Form 4797 – Sales or Exchanges of Property Report
FAS447 Form 4797 – Ordinary Gains and Losses Report
FAS448 Retired Assets Without Retirement Types Report
FAS449 Form 4684 – Casualties and Thefts Report
FAS771 Adjusted Form 4562 – Depreciation and Amortization Report
FASAAMTD Adjusted Form 4626 – AMT Detail Report
FASAAMTS Adjusted Form 4626 – AMT Summary Report
FASCASEQ Asset Sequence Creation Program
FASLSPRC Prorate Convention Listing Report
FASMAIMR Mass Additions Invoice Merge Report
FASMAISP Mass Additions Invoice Split Report
FASPRX Price Index Listing
FASRREV Revalued Asset Retirements Report
FAS911 Depreciation Rate Listing
FASLSCAL Calendar Listing
FASFIADJ Financial Adjustments Report
FAS741 Asset Reclassification Reconciliation Report
FAS423 Conversion Assets Report
FASASSBS Additions By Source Report
FASCASR Cost Adjustments by Source Report
FASNBV Diminishing Value Report
FASRTDBR Bonus Depreciation Rule Listing
FASWIPAS CIP Assets Report
FASWIPCR CIP Capitalization Report
FAS431 Asset Transfer Reconciliation Report
FASWIPDR CIP Detail Report
FASWIPSR CIP Summary Report
FASACEDP ACE Depreciation Comparison Report
FASACEUD ACE Unrecognized Depreciation Method Code Exception Report
FASACEND ACE Non-Depreciating Assets Exception Report
FAPURG Purge accounting tables
FASCC Cost Clearing Reconciliation Report
FASDPAPG Mass Depreciation Adjustment Program
FASDPAPV Mass Depreciation Adjustment Preview Report
FASDPARV Mass Depreciation Adjustment Review Report
FASINDX Database Index Listing
FASMSUOP Units of Production Asset Report
FASRCOST Recoverable Cost Report
FASUOPSM Production Summary Report
FATXPRFD @Tax Preference Report
FAUPDTL Upgrade Depreciation Detail
FAUPPR Upload Production
FAVRVL Mass Revaluation Program
FATMTA Mass Depreciation Adjustment Program
FAMCP Periodic Mass Copy
FASDRILL Drill Down Report
FASUOPHI Production History Report
FASCAPSP Capital Spending Report
FAACCR Populate ACE Interface Using ACE Rules
FAACUP Update ACE Tax Book
FASRVPVW Mass Revaluation Preview Report
FASRVRVW Mass Revaluation Review Report
FASPARTX Parent Asset Transactions Report
FASDRILA Account Drill Down Report
FASTXPRF Tax Preference Report
FASPRJ Depreciation Projection Report
FASRVRED Revaluation Reserve Detail Report
FASRVRES Revaluation Reserve Summary Report
FACCBA Create capital budget assets
FASACEAU ACE Assets Update Report
FAIMCP Initial Mass Copy
FADPOST Create Deferred Depreciation Journal Entries
FAMRST Mass Reinstatements
FAMRET Create Mass Retirements
FASMRETX Mass Retirements Exception Report
FASMRET Mass Retirements Report
FAPICMP PI Comparison program
FAPIPURG PI Purging program
RXFAWD RX-only: What-If Depreciation Analysis
RXFARCLP RX-only: Mass Reclassification Preview Report
RXFARCLR RX-only: Mass Reclassification Review Report
FAMRCL Mass Reclassification Program
FASRCPVW Mass Reclassification Preview Report
FASRCRVW Mass Reclassification Review Report
FAMTPUR Asset Maintenance Purge Program
FASMAINT Asset Maintenance Report
FAMTSC Asset Maintenance Scheduling Program
FAXINSUR Insurance Calculation Routine
FASINSDR Insurance Data Report
FASINSVR Insurance Values Detail Report
FADRB Rollback Depreciation
FAMRCUPG1 MRC Setup – Assets Transactions Upgrade: Phase1
FAMRCUPG2 MRC Setup – Assets Transactions Upgrade: Phase 2
FAMRCUPG3 MRC Setup – Assets Transactions Upgrade: Phase 3
FAUSTR Upload Short Tax Reserves
RXFAAC RX-only: Asset Cost Balance Report
RXFAAD RX-only: Accum Deprn Balance Report
RXFAADD RX-only: Additions by Date-Placed-in-Service Report
RXFAADP RX-only: Additions by Period Report
RXFAADR RX-only: Additions by Responsibility Report
RXFACAJ RX-only: Cost Adjustments Report
RXFACAP RX-only: Capitalizations Report
RXFACC RX-only: CIP Cost Balance Report
RXFACCR RX-only: Cost Clearing Reconciliation Report
RXFAMAD RX-only: Mass Additions Report
RXFAPTAX RX-only: Property Tax Report
RXFARCL RX-only: Reclass Report
RXFARET RX-only: Retirements Report
RXFARL RX-only: Reserve Ledger Report
RXFARR RX-only: Reval Reserve Balance Report
RXFATFR RX-only: Transfers Report
RXFAPIC RX-only: Physical Inventory Comparison Report
RXFAPIM RX-only: Physical Inventory Missing Assets Report
FAGDA Generate Accounts
RXFAHWD RX-only: Hypothetical What-If Depreciation Analysis
FAWHTIF What-If Depreciation Report
FAHYPWIF Hypothetical What If report
FASUNPLD Unplanned Depreciation
FARXPBSH Publish RX Reports
FARXPRG Purge RX Interface Data
FARXAL RXi: Asset Listing by Period
FARXBK RXi: Fixed Assets Book
RXFAAL RX-only: Asset Listing by Period
RXFABK RX-only: Fixed Assets Book
JAAUFRET Australian Assets Calculate Gains and Losses
FARXADP RXi: Additions by Period Report
FARXRL RXi: Reserve Ledger Report
FARXRR RXi: Reval Reserve Balance Report
FARXTFR RXi: Transfers Report
FARXAC RXi: Asset Cost Balance Report
FARXAD RXi: Accum Deprn Balance Report
FARXADD RXi: Additions by Date-Placed-in-Service Report
FARXPIC RXi: Physical Inventory Comparison Report
FARXCAJ RXi: Cost Adjustments Report
FARXCAP RXi: Capitalizations Report
FARXCC RXi: CIP Cost Balance Report
FARXRCL RXi: Reclass Report
FARXRET RXi: Retirements Report
FARXCCR RXi: Cost Clearing Reconciliation Report
FARXMAD RXi: Mass Additions Report
FARXADR RXi: Additions By Responsibility Report
FARXRCLP RXi: Mass Reclassification Preview Report
FARXRCLR RXi: Mass Reclassification Review Report
FAPRXTAX RXi: Property Tax Report
FARXWD RXi: What-If Depreciation Analysis
FARXHWD RXi: Hypothetical What-If Depreciation Analysis
FARXPIM RXi: Physical Inventory Missing Assets Report
RXFAMT RX-only: Asset Maintenance Report
FARXMT RXi: Asset Maintenance Report
FADEPR Depreciation Run
FAPOST Create Journal Entries
FARET Calculate Gains and Losses
FAPROJ Depreciation Projection
FASCB Capital Budget Interface
FAAREC Reclassification Program
FAS400 Journal Entry Reserve Ledger Report
FAS401 Responsibility Reserve Ledger Report
FAS402 Fully Reserved Assets Report
FAS403 Account Reconciliation Reserve Ledger Report
FAS410 Asset Inventory Report
FAS420 Asset Additions Report
FAS421 Asset Additions By Cost Center Report
FAS430 Asset Transfers Report
FAS440 Asset Retirements Report
FAS441 Asset Retirements By Cost Center Report
FAS442 Reinstated Assets Report
FAMRCOSPT MRC : Create Journal Entries in all Ledgers
FADTXA132 Japanese Detail by Asset Type (Addition/All Assets) Report 132 Characters
FAPPT Process Pending Transactions
FATAXUP Upload Tax Book Interface
FADTXA180 Japanese Detail by Asset Type (Addition/All Assets) Report 180 Characters
RXFADPTX Japanese Depreciable Assets Tax Reports
FADTXD Japanese Detail by Asset Type (Decrease Assets) Report
FADTXS Japanese Depreciable Assets Tax Summary Report
FAMRCOSPB MRC : Rollback Depreciation in all Ledgers
FASARTR Asset Retirement Tax Register -(Russia)
FAWIPSTAT FA CIP Statistics for the Central Statistical Office (KSH) (Hungary)
FASTYA Tofes Yud Alef Report 1342 (Israel)
FARESLDG Bulgarian Reserve Ledger Report
FASTAC Asset Tax Accounting Card (Russia)
FADSTR Depreciation Summary Tax Register (Russia)
FAMPRET Post Mass Retirements
FAMPTFR Post Mass External Transfers
FAMPSLTFR Post Mass Source Line Transfers
FAMRCOSPD MRC : Depreciation Run in all Ledgers
CSEIFACB Depreciable Items – Asset Creation
CSEFPISB Normal Items Asset Creation
CSEAPNLF Interface Payables Invoice Price Variance(IPV) to Fixed Assets
CSEAPNLP PRC: Interface Payables Invoice Cost Adjustments to Projects
CSEFPISE Expenditure Creation of Normal Items with 8,9, and 10
CSEFPISF Create Asset Headers for Normal Items
CSELOSDR Assumed Loss Rate Report
CSEBOFLD Bill of Lading Report
CSEFAMVB Interface Move Transactions to Oracle Assets
CSEASNQB Import Asset Retirement – Reinstatement to Install Base
CSEFUADJ Asset Unit Adjustments for Normal Item
CSEIMTFA OBSOLETE:Interface Move Transactions to Oracle Assets
CSEDASTC Depreciable Items – Asset Creation Program
CSENIEXP Interface In-Service Transactions to Oracle Projects – Normal Items
CSENIAST Create Asset Headers in Oracle Projects – Normal Items
CSEIPVFC PRC: Interface Payables Invoice Cost Adjustments to Assets Report
CSEIPVPC PRC: Interface Payables Invoice Cost Adjustments to Projects Report
CSENIASU Interface Unit Adjustments to Oracle Assets – Normal Items
CSERTMIC Import Asset Retirement – Reinstatement Transactions Report
FAMRCOSPR MRC: Run Calculate Gain Loss in all Ledgers
FAJERB Rollback Journal Entries
FALPEXPT Export Lease Payments to Payables
FAMRCOSPJB MRC : Rollback Journals in all Ledgers
FARXCHGR RXi: Mass Change Review Report
FARXGA RXi: Group Asset Report
RXFAGA RX-only: Group Asset Report
FATRACE Generate Asset Trace
FAPSGC Process Super Group Change
CSEINVFA Create Assets: Interface Inventory Transactions to Oracle Assets
CSEIPVFP Interface Invoice Price Variance to Oracle Assets
CSEIPVPA Interface Invoice Price Variance to Oracle Projects
FAPGADJ Process Group Adjustments
FAMRPEND Process Pending Retirements Criteria
RXFAMCHP RX-only: Mass Change Preview Report
RXFAMCHR RX-only: Mass Change Review Report
FARXCHGP RXi: Mass Change Preview Report
CSEGLINB Create Reversal GL Entries for Inventory FA Items
CSEFANOTIFY Generate Notification – New Fixed Assets for Install Base Tracking
FAACCPB Create Accounting – Assets
FADEF Calculate Deferred Depreciation
FAMAPREP Prepare Mass Additions
FAMPTI Post Transaction Interface
FARXACA RXi: Asset Cost Balance (Alternate) Report
FARXADA RXi: Accum Deprn Balance (Alternate) Report
FARXCCA RXi: CIP Cost Balance (Alternate) Report
FARXRRA RXi: Reval Reserve Balance (Alternate) Report
FAXLAUPGCP Upgrade Historical Assets Transactions for Subledger Accounting
FAXLAUPGCP2 Upgrade Historical Assets Depreciation for Subledger Accounting
RXFAACA RX-only: Asset Cost Balance (Alternate) Report
RXFAADA RX-only: Accum Deprn Balance (Alternate) Report
RXFACCA RX-only: CIP Cost Balance (Alternate) Report
RXFARRA RX-only: Reval Reserve Balance (Alternate) Report
FAGLTRN Transfer Journal Entries to GL – Assets
FASSUMRPT Asset Summary Report (Germany)
FAHYPWIF_XML Hypothetical What If Report (XML)
FAS811_XML Mass Transfers Preview Report (XML)
FAS860_XML Mass Change Preview Report (XML)
FASINSDR_XML Insurance Data Report (XML)
FASMRET_XML Mass Retirements Report (XML)
FASRVPVW_XML Mass Revaluation Preview Report (XML)
CSEBOFLD_XML Bill of Lading Report (XML)
CSELOSDR_XML Assumed Loss Rate Report (XML)
FAXADJ Extended Adjustments Program
FASRPRPF UK Local Authority Accounting – Mass Revaluation Preview Report
FAWDPR What-If Analysis Program
FAPIMP Process Impairments
FASRPREEX Implementation Exception Report for UK Local Authority Accounting Implementation
FASRPCGC Calculation of Capital Adjustment / General Fund Account Balances for UK Local Authority Accounting Implementation
FASRPCTIL Category Implementation for UK Local Authority Accounting
FASRPIRU Impairment and Revaluation Implementation Report for UK Local Authority Accounting
FAPADJ Post Adjustments Interface
FAXRASIM Asset Impairment Report
FAXRASUN List Assets By Cash Generating Unit
RXFAPOGT Populate Balanace Report GT Data
FASRPRRF UK Local Authority Accounting – Mass Revaluation Review Report

Oracle Assets Forms

Oracle Assets and Asset Tracking Forms

FORM SHORT CODE ORACLE FORM NAME
FAXASSET Assets
FAXDPRUN Run Depreciation
FAXINSUR Insurance
FAXLSDET Lease
FAXLSSCH Lease Schedules
FAXMAABI Assign Investment Tax Credit
FAXMACWA Capitalize CIP Assets
FAXMADDS Mass Additions
FAXMADPA Mass Depreciation Adjustment
FAXMAMCH Mass Change
FAXMAMRT Mass Retirements
FAXMAMTF Mass Transfers
FAXMAPPR Enter Production
FAXMARCL Mass Reclassifications
FAXMAREV Mass Revaluation
FAXMTDET View Details
FAXMTPUR Purge Schedules
FAXMTSCH Schedule Events
FAXOLFIN Financial Inquiry
FAXOLTRX Transaction History
FAXPICMP Run Comparison
FAXPIDEF Enter Physical Inventory
FAXPIINV View
FAXPRRUN Depreciation Projections
FAXPURGE Mass Purge
FAXRXIRP Setup RXi
FAXRXREP Report eXchange Designer
FAXSUAKY Define Asset Key Flexfield Combinations
FAXSUBCT Book Controls
FAXSUCAL Asset Calendars
FAXSUCAT Asset Categories
FAXSUCBD Enter Capital Budget
FAXSUDBR Bonus Depreciation Rules
FAXSUDCL Depreciation Expense Ceilings
FAXSUDST Distribution Sets Setup
FAXSUEXL Set Extended Life
FAXSUFYR Fiscal Years
FAXSUITA Investment Tax Credit Rates
FAXSUITR Investment Tax Credit Recapture Rates
FAXSULEA Leases
FAXSULOC Locations
FAXSULUT QuickCodes
FAXSUMET Depreciation Methods
FAXSUPRC Prorate Conventions
FAXSUPRX Price Indexes
FAXSUSTL System Controls
FAXSUWTY Setup Warranties
FAXULCBD Upload Capital Budget
FAXWHTIF What-If Depreciation Analysis
FAXLPEAP Lease Payments to Payables
FAXORIDE Override
FAXSUSGR Super Groups
FAXDTCOM Japan Depreciable Assets Tax – Company
FAXDTATH Japan Depreciable Assets Tax – Tax Authority
FAEXDEPR Extended Depreciation
FAXSUCGU Cash Generating Units
CSEWFMSG Workforce Management