Information

This site will undergo a brief period of maintenance on Thursday, 23 April at 2:30 AM Central/1:00 PM IST. During a 30 minute window, site availability may be intermittent.

Information
This documentation supports the 20.02 version of Remedy Asset Management.To view an earlier version, select the version from the Product version menu.

Implementing the charge-back process during each period


Follow these steps to implement the charge-back process during each period.

  1. Specify costs for the current period. See Adding-costs.
  2. At the end of the period, generate preliminary charge-back reports and make any necessary adjustments. See Generating-a-list-of-charge-back-entries, Generating-charge-back-reports, and Adjusting-charge-back-entries.
  3. Generate and print charge-back invoices. See Generating-charge-back-invoices.
  4. Send the charge-back invoices to the appropriate business units for verification and approval.
  5. Send the final charge-back invoices to your company's accounting department.
  6. At the end of the period, close the period. See Closing-the-current-period.


 

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

Remedy Asset Management 20.02