Space banner This version of the product is in limited support. However, the documentation is available for your convenience. You will not be able to leave comments.

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.

Related topics

 

Tip: For faster searching, add an asterisk to the end of your partial query. Example: cert*