Bonus Reserve
Hi all
1. Why when an Cip asset is capitalized in the month of addition it does not reflect on the capitalized report. Cip assets capitalize only reflect if the assets was entered in a precious month.
2. When security by book is on assets that are fully retired are not viewable by the Financial Information function, the forms come up blank. and I have to view the asset in the "transaction History" form, Can any say why or if this is the standard functionality.
3.What is the Bonus reserve and Reserve, how does these account works, I notive that they are mostly used when Mass trasfers and reclass are done. i would love to understand how they work.