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Financial Report Builder to add net book value in balance sheet
I've searched the questions and answers pages. There is none here relating to this topic, but I've seen it somewhere else before, maybe in SuiteAnswer. It's no longer there or I couldn't find it anymore.
Could anyone show how to add net book value rows for fixed asset section in balance sheet saved report? The result I've got so far is summary level only, but it'd be great to see account levels and then summary level.
In order to reconcile fixed asset register vs balance sheet for individual asset type(account) monthly basis, users need to do additional work (like- run asset register > export Exel > do calculation to get asset's current cost > then reconcile with balance sheet).
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