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Configuring Financial Asset Management

The first step when using Financial Asset Management is to configure the necessary values for the devices in your network.

Configuration consists of the following steps:

  • Configuring the currency to use for calculations.
  • Configuring the global basic financial data of the device types in your network.
  • (Optional) Configuring the evaluation schedule.
  • (Optional) Adding customized lifecycle status values.
  • Configuring specific data for individual devices and device groups.

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This version of the documentation is no longer supported. However, the documentation is available for your convenience. You will not be able to leave comments.

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