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FADetails

PX.Objects.FARelease 2025.2

Contains the additional properties of FixedAsset.

Field NameTypeDisplay NameForeign Key
AccrualBalance
decimal-
Description:The reconciled part of the current cost of the fixed asset. The value is read-only and is selected from the appropriate FABookHistoryRecon.ytdReconciled field.
AcquisitionCost
decimalOrig. Acquisition Cost-
Description:The cost of the fixed asset at the time of acquisition. The value can be changed during the life of the asset.
AssetID
intFixedAsset
Description:A reference to FixedAsset. An integer identifier of the fixed asset. It is a required value. By default, the value is set to the current fixed asset identifier.
Barcode
nvarchar(20)Barcode-
Description:The barcode of the fixed asset. The information field, which value is entered manually.
BaseCuryIDNonexistent in DB
stringCurrency-
Description:No description available
BillNumber
nvarchar(15)Bill Number-
Description:The number of the bill. The information field, which value is entered manually.
Condition
char(1)Condition-
Description:The condition of the fixed asset. The field can have one of the values described in condition.ListAttribute.
CreatedByIDDefault Navigation
uniqueidentifierCreated ByUsers
Description:No description available
CreatedByScreenID
char(8)-
Description:No description available
CreatedDateTime
datetime-
Description:No description available
CurrentCost
decimalBasis-
Description:The cost of the fixed asset in the current depreciation period. The value is read-only and is selected from the appropriate FABookHistoryRecon.ytdAcquired field.
DepreciateFromDate
datetimePlaced-in-Service Date-
Description:The date when depreciation of the fixed asset starts. The date can not be greater than receiptDate.
DisplayDisposalDateNonexistent in DB
DateTime?Disposal Date-
Description:The date of fixed asset disposal. The field is filled in only for disposed fixed assets.
DisplayDisposalMethodIDDefault NavigationNonexistent in DB
int?Disposal MethodFADisposalMethod
Description:A reference to FADisposalMethod. An integer identifier of the disposal method. The field is filled in only for disposed fixed assets.
DisplayDisposalPeriodIDNonexistent in DB
string-
Description:The period of fixed asset disposal. The field is filled in only for disposed fixed assets.
DisplaySaleAmountNonexistent in DB
decimal?Disposal Amount-
Description:The amount of fixed asset disposal. The field is filled in only for disposed fixed assets. The value of the field can be zero.
DisposalDate
datetimeDisposal Date-
Description:The date of fixed asset disposal. The field is filled in only for disposed fixed assets.
DisposalMethodIDDefault Navigation
intDisposal MethodFADisposalMethod
Description:A reference to FADisposalMethod. An integer identifier of the disposal method. The field is filled in only for disposed fixed assets.
DisposalPeriodID
string-
Description:The period of fixed asset disposal. The field is filled in only for disposed fixed assets.
FairMarketValue
decimalFair Market Value-
Description:No description available
Hold
bitHold-
Description:A flag that indicates (if set to "true") that the fixed asset is on hold and thus cannot be depreciated.
IsReconciledNonexistent in DB
bool?-
Description:A flag that indicates (if set to "true") that a fixed asset is fully reconciled with the General Ledger module.
IsTemplate
bitIs Template-
Description:No description available
LastCountDate
datetimeLast Count Date-
Description:No description available
LastMeasurementUsageDate
datetimeLast Measurement Date-
Description:No description available
LastModifiedByIDDefault Navigation
uniqueidentifierLast Modified ByUsers
Description:No description available
LastModifiedByScreenID
char(8)-
Description:No description available
LastModifiedDateTime
datetime-
Description:No description available
LastServiceDate
datetimeLast Service Date-
Description:No description available
LastServiceValue
decimalLast Service Value-
Description:No description available
LeaseNumber
nvarchar(15)Lease Number-
Description:No description available
LeaseRentTerm
intLease/Rent Term, months-
Description:No description available
LessorIDDefault Navigation
intLessor-
Description:No description available
LocationRevID
int-
Description:The number of the actual revision of the asset location. This field is a part of the compound reference to FALocationHistory. The full reference contains the assetID and locationRevID fields.
Manufacturer
nvarchar(60)Manufacturer-
Description:The name of the fixed asset manufacturer. The information field, which value is entered manually.
ManufacturingYear
char(4)Manufacturing Year-
Description:No description available
Model
nvarchar(60)Model-
Description:The name of the fixed asset model. The information field, which value is entered manually.
NextMeasurementUsageDate
datetimeNext Measurement Date-
Description:No description available
NextServiceDate
datetimeNext Service Date-
Description:No description available
NextServiceValue
decimalNext Service Value-
Description:No description available
PONumber
nvarchar(15)PO Number-
Description:The number of the purchase order related to the purchase document. The information field.
PropertyType
char(2)Property Type-
Description:The type of the fixed asset property. The field can have one of the values described in propertyType.ListAttribute.
ReceiptDate
datetimeReceipt Date-
Description:The acquisition date of the fixed asset.
ReceiptNbrDefault Navigation
nvarchar(15)Receipt Nbr.POReceipt
Description:The number of the purchase receipt. This field is a part of the compound reference to the purchasing document (. The full reference contains the receiptType and receiptNbr fields.
ReceiptType
char(2)Receipt TypePOReceipt
Description:The type of the purchase receipt. This field is a part of the compound reference to the purchasing document (POReceipt). The full reference contains the receiptType and receiptNbr fields. The field can have one of the values described in POReceiptType.ListAttribute.
RentAmount
decimalRent Amount-
Description:No description available
ReplacementCost
decimalReplacement Cost-
Description:The replacement cost of the fixed asset.
ReportingLineNbr
char(3)Personal Property Type-
Description:No description available
RetailCost
decimalRetail Cost-
Description:No description available
SaleAmount
decimalDisposal Amount-
Description:The amount of fixed asset disposal. The field is filled in only for disposed fixed assets. The value of the field can be zero.
SalvageAmount
decimalSalvage Amount-
Description:The salvage amount of the fixed asset.
SerialNumber
nvarchar(60)Serial Number-
Description:The serial number of the fixed asset. The information field, which value is entered manually.
Status
char(1)Status-
Description:The status of the fixed asset. The field can have one of the values described in FixedAssetStatus.ListAttribute.
TagNbr
nvarchar(20)Tag Number-
Description:The tag of the fixed asset. The value can be entered manually or can be auto-numbered.
TemplateIDDefault Navigation
intTemplateFixedAsset
Description:No description available
TotalExpectedUsage
decimalTotal Expected Usage-
Description:No description available
TransferPeriodNonexistent in DBObsolete
stringTransfer Period-
Description:The identifier of the transfer period. This is an unbound service field that is used to pass the parameter to transfer processing.
Warrantor
nvarchar(40)Warrantor-
Description:The name of the fixed asset warrantor. The information field, which value is entered manually.
WarrantyCertificateNumber
nvarchar(30)Warranty Certificate Number-
Description:The certificate number of the fixed asset warranty. The information field, which value is entered manually.
WarrantyExpirationDate
datetimeWarranty Expires On-
Description:The expiration date of the fixed asset warranty. The information field, which value is entered manually.
tstamp
timestamp-
Description:No description available