NetAsset 2023.1
NETASSET VERSION 2023.1 KEY UPDATES
- Asset Creation
- Ability to default In-Service Date and Asset Type to proposal lines in bulk from the Create from Asset Proposals pages
- Auto-numbering
- Navigate NetAsset > NetAsset Setup > System Setup and select from the following auto-numbering preferences:
- Default: Uses the prefix and the numbering conventions laid out directly on the NetAsset Asset custom record
- Manual: Forces users to specify the asset ID manually whenever creating a new asset record
- Custom: Allows user to specify their own asset ID prefix
- Asset Type: Uses the asset prefix listed on the asset type record and numbers according to the number of assets within that asset type
- Subsidiary: Uses the asset prefix listed on the subsidiary record and numbers according to the number of assets within that subsidiary
- Navigate NetAsset > NetAsset Setup > System Setup and select from the following auto-numbering preferences:
- Build Ups
- Build ups opened from an asset record will filter transactions by the asset’s subsidiary by default
- Direct Expensing
- Ability to supply an Expense Account to write off clearing impacts on the Create from Asset Proposals pages
- To enable this feature, navigate to NetAsset > NetAsset Setup > System Setup and check the "Direct Expensing" checkbox on the System Features subtab
- Import Tools
- Navigate to NetAsset > NetAsset Setup > System Setupto view the new Import Tools tab which contains the following
- CSV import templates for the import of Assets and Asset Types
- Knowledge Base Request Page
- Request access to this knowledge base on behalf of another user
- NetAsset Permissions Importer Tool
- Allows user to quickly import NetAsset custom record and custom transaction permissions to multiple roles at once
- Navigate to NetAsset > NetAsset Setup > System Setupto view the new Import Tools tab which contains the following
- Reporting
- FX consolidation added to asset register and subledger roll forward reports
- Scripted waterfall and subledger roll forward reports updated not to forecast out depreciation for on-hold assets
- Revaluations
- Option to manually enter new balances on true up revaluations
- Splits
- Alternate schedule tabs are now updated with the proper split amounts
- Bulk splits now available via disposal proposal CSV import
- Clearing impacts on the split transaction are now tagged to child assets for precise tie outs
- Tax Engine
- Setup tax rules in order to calculate the correct depreciation method to use on tax schedules
- Build ups and disposals on the main schedule are now automatically incorporated into the alternate schedule
- Transfers
- Improved defaulting of intercompany customer/vendor
- Improved error handling for incorrectly selected intercompany customer/vendor
- New "Auto-Eliminating" checkboxes allows user to see ahead of time whether selected intercompany payable/receivable accounts are auto-eliminating
- Removed stipulation requiring an intercompany vendor and intercompany customer are required when using auto-eliminating intercompany receivable/payable accounts
- Miscellaneous
- Custom Filter Updates
- Added the ability to set a default value for the custom filter
- Asset Creation Custom Sourcing Updates
- Allow field to be hidden on create asset from proposals page
- Allow two sourcing records to source from the same field (1 editable, 1 not editable is the main use case for this)
- Allow checkbox field custom sourcing on asset creation
- Transaction Posting Custom Sourcing Updates
- Account filters to be applied by account field on the asset type, not the specific account entered to avoid issues with accounts used across different fields
- "Apply To Accounting Books" custom sourcing filter added
- Redesigned NetAsset Setup page with more groupings so that individual settings can be found easier
- Default Script Priority/Concurrency
- Elect to set the concurrency (# of queues) and relative priority of all NetAsset map/reduce scripts in bulk
- Custom Filter Updates
- Fully tested for the NetSuite 2023.1 Release
WHAT DO YOU NEED TO DO?
Your NetSuite Administrator should follow the instructions outlined here for getting the upgrade
- NOTE: The currency field on the asset record will get cleared out upon bundle update. A cutover script will repopulate it automatically, but the form may need to be updated to put it back into place.