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Transaction Date
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Defaults to the current date. Enter the effective date (
mm dd yy
) of the document.
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Accounting Period
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Defaults to the period in which the transaction date falls. Enter the accounting period to which the transaction is posted.
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Type of Transfer
|
Required. Valid values are:
One [1]
A fixed asset in construction to either a building or an improvement. Only
Fixed Asset Number
,
Type
, and
New Group
are entered on this document.
Two [2]
A fixed asset from one account code to another within the same proprietary fund or between two entity funds. Leave
New Group
blank,
New Location
is optional, and all other fields are required.
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Responsibility Center
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New Fund
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Conditional. Leave blank if
Type of Transfer
is
One [1]
;
required for a type
Two [2]
. Enter the new fund that is primarily responsible for the fixed asset. If the new fund is an entity fund, then ensure that the old fund was an entity fund. You cannot transfer proprietary type funds. Use the Fixed Asset Internal Sale (FS) document to transfer between proprietary funds. See Fund Index (FUND) for valid values.
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New Agency
|
Conditional. Leave blank if
Type of Transfer
is
One [1]
;
required for a type
Two [2]
. Enter the new agency that is primarily responsible for the fixed asset. See Agency Index (AGCY) for valid values.
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New Org/Sub
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Conditional. Leave blank if
Type of Transfer
is
One [1]
;
required for a type
Two [2]
if the Expense Budget Organization option on Fund Agency (FAGY) is
Y
or
A
. See Organization Index (ORGN) for valid values.Sub-Organization can only be entered if Organization is entered; otherwise it is blank. See Sub-Organization (SORG) for valid values.
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New Activity
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Conditional. Leave blank if
Type of Transfer
is
One [1]
;
optional for a type
Two [2]
if the Expense Budget Activity option on Fund Agency (FAGY) is
Y
or
A
. See Activity Index (ACTV) for valid values.
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New Object/Sub
|
Conditional. Leave blank if
Type of Transfer
is
One [1]
;
required for a type
Two [2]
. Enter the new object that is primarily associated with the fixed asset. See Object Index (OBJT) for valid values.Sub-Object can only be entered if Object is entered; otherwise it is blank. See Sub-Object (SOBJ) for valid values.
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New Appr Unit
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Required. Enter the Program Budget Unit element for the items listed on this voucher. See Program Reference Table (PRFT) for valid values. The Appropriation Program element and Allotment Program element will be inferred from PRFT based on Program Budget Unit.
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New Function
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Optional. See Function (FUNC) for valid values. If left blank, it is inferred from Organization (ORG2); or from Activity (ACT2), if a function code is not entered on Organization (ORG2).
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New BS Account
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Conditional. Enter a balance sheet account if this is an expense transaction (fixed assets, consumption-based inventories, pre-paid items) or if this transaction transfers funds between two balance sheet accounts.
If the latter is the case, Object must be blank. See Balance Sheet Account Index (BACC) for valid values. You cannot enter a balance sheet account that is used as a default account on System Special accounts (SPEC). However, you can enter the default fund balance account.
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New Rev Src/Sub
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Conditional. Enter a revenue source on an internal refund transaction; otherwise, leave blank. When revenue source is entered, Object and Balance Sheet Account must be blank. See Revenue Source Index (RSRC) for valid values.
Enter a sub-revenue source if Revenue Source is entered and Sub-Revenue Source Required is Yes [Y] on Revenue Source (RSR2). If Sub-Revenue Source Required is No [N], sub-revenue source is optional. See Sub-Revenue Source (SREV) for valid values.
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New Job Number
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Conditional. Organizations and activities can be defined to require the entry of a job number. Refer to Organization (ORG2) or Activity (ACT2) for details.
Otherwise, this field is optional. If
Job Cost
is
Yes [Y]
on System Control Options (SOP2), enter a job number. See Job Index (JOBT) for valid values. If
Job Cost
is
No [N]
on System Control Options (SOP2), enter a project number or general reporting category.
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New Rept Category
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Conditional. This field required on expenditure transactions if Reporting Category on Agency (AGC2) is Required on Expenditure Transactions [3].
This field is required on revenue transactions if Reporting Category Required on Revenue Transactions is Required [Y]. For transactions that require a balance sheet account code, this field is required if Reporting Category Option is Y (required) on Balance Sheet Account Index (BACC). Otherwise, this field is optional. See Reporting Category (RPTG) for valid values.
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Fixed Asset Number
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Required. Enter the fixed asset number of the fixed asset that is transferred.
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New Room Number
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Optional. Enter the room number associated with the fixed assets.
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Type
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Required. If
Type of Transfer
is
One [1]
, this is the new fixed asset type, either
B
(building)
or
I
(improvement). If
Type of Transfer
is
Two [2]
, this is the fixed asset type of the fixed asset that is getting a new accounting distribution.
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New Location
|
Conditional. Leave blank if
Type of Transfer
is
One [1]
;
optional for a type
Two [2]
. Enter the new location of the fixed asset. See Fixed Asset Location Inquiry (FALC) for valid values.
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New Group
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Conditional. Required if
Type of Transfer
is
One [1]
;
leave blank for a type
Two [2]
. Enter the new fixed asset group. See Fixed Asset Group Location Inquiry (FAGL) for valid values.
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New Asset Custodian
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Optional. Enter the employee's name or the position number. If left blank, this field defaults to "None."
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