Search HansaManuals.com HansaManuals Home >> Standard ERP >> Assets >> Revaluation Register Previous Next Entire Chapter in Printable Form Search This text refers to program version 2024-01-27 Create Menu - Revaluation - NL Simulation This page describes the 'NL Simulation' function on the Create menu in the Revaluation record window. If you are using iOS or Android, the 'NL Simulation' function is on the + menu. The 'NL Simulation' function is only operational when the VAT Law in the Company Info setting is set to "Default", "Russian" or "Ukrainian".--- In some countries, it is necessary to record the change in value of an Asset in the Nominal Ledger. To do this, first save the Revaluation registering the change in value and then select 'NL Simulation' from the Create menu (Windows/macOS) or + menu (iOS/Android). A Nominal Ledger Simulation will be created and opened for checking. Once you have checked and finalised this Simulation, you can create a Transaction from it. Highlight it in the 'Simulations: Browse' window. and then select 'N/L Transactions' function from the Create or + menu. You can only create one Simulation from a Revaluation. If a Simulation is not created, the probable causes are:
If the VAT Law is "Default", the Simulation is as follows: In this Simulation, the previous depreciation of the Asset will be credited to the Depreciation Account specified in the Asset Class, and the increase in value represented by the Revaluation (compared to the Purchase Value of the Asset) will be credited to the Capital Investment Account specified in the Account Usage Assets setting. The increase in value represented by the Revaluation (compared to the net book value of the Asset at the time of the Revaluation) will be debited to the Asset Account specified in the Asset Class. The Tags/Objects assigned to the postings to the Depreciation and Asset Accounts will be taken from the Asset Class (Tags/Objects field) and the Asset itself. The Date is the Transaction Date from the Revaluation. The Inventory Number of the Asset is added to the names of the Asset and Depreciation Accounts in the Descriptions field in the appropriate rows. --- The Revaluation register in Standard ERP:
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