Financial Asset Information
The following parameters are available to define financial information for the devices of your network:
Parameter | Description |
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Lifecycle Status | Select the lifecycle status from the list box. The predefined values are:
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Asset Tag | Enter the unique identifier of the asset. The identifier can have no more than 64 characters. |
Asset Owner | Click the Add User icon to the right of the field to select the owner of this asset. |
Department | Click the Add User Group icon to the right of the field to select the department that is responsible for this device. The department is represented by a user group. |
Location | The country/region/town/building/geographical area at which the asset is located. |
Managed By | Click the Add Administrator icon to the right of the field to select the support contact who is responsible for this asset. |
Vendor | Enter the name of the vendor of the asset, for example, Hewlett Packard or Dell . |
Vendor SKU | The unique identifier of this asset as assigned by its vendor (stock-keeping unit). |
Invoice Number | Enter into this field the number of the invoice. |
PO Number | Enter the number of the purchase order for the asset. |
Warranty Cost | Enter the total cost for the warranty contract of the asset. |
Support Cost | Enter the total cost for the support contract of the asset. |
Support Provider | Enter the name company that provides the support for this asset. |
Support Provider Phone Number | Enter the phone number under which your direct contact at the support provider can be reached. |
Purchase Date | Select in this field the purchase date of the asset. You can clear the field again by clicking the Erase icon to the right of the field. |
Invoice Date | Enter into this field the date of the invoice. The date must be equal to or later than the Purchase Date . |
Date Received | Select in this field the date at which the asset arrived at its destination. This date must be later than the Purchase Date value. You can clear the field again by clicking the Erase icon to the right of the field. |
Service Start Date | Select in this field the date at which the asset went online, that is, was finally up and running. This date must be later than the Date Received value. You can clear the field again by clicking the Erase icon to the right of the field. |
Support Expiration Date | The date at which the support contract for the asset runs out. |
Warranty Expiration Date | Select in this field the date at which the warranty for the asset expires. This date must be later than the Service Start Date value. You can clear the field again by clicking the Erase icon to the right of the field. |
Purchase | Select this radio button if the asset was purchased. |
Purchase Cost | Enter into this field the total purchasing costs of the asset. |
Residual Value | Enter into this field the currently remaining value of the asset. The residual value is an estimate of the value of the asset at the time it is sold or disposed of; it may be zero. Residual value is also known as scrap value or salvage value. |
Useful Life (months) | Enter into this field the total amount of time that the asset is expected to be up and working in your network in months from the service start date onwards. |
Depreciation Type | The method used to calculate the costs:
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Lease | Select this radio button if the asset is subject to a leasing contract. |
Lease Cost of Asset | Enter into this field the total costs for the lease of the asset. |
Lease Term (months) | Select from this list the time in months for the leasing contract. |
Lifecycle Status | Select the lifecycle status from the list box. The predefined values are:
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Manual Status Updates | Be aware, if a device is deprecated, its lifecycle status is automatically set to Deprecated , even if the automatic update is deactivated. |