NetAsset 2022.1
NETASSET VERSION 2022.1 KEY UPDATES
- Build Ups- Bulk build ups- Build up costs to multiple assets at the same time
 
- Build up reversals- Ability to reverse build ups recently performed and automatically un-tag source transactions
 
- Pre-assignment of costs- New transaction line field, "Asset to Build Up", that allows users to pre-assign a cost to build up to a particular asset
 
- Automated CIP cost to asset matching- New checkbox field on the NetAsset Custom Sourcing record, "Project Grouping", defines the mapping of a "From Transaction Field" and a "To Asset Field" as a project mapping- This facilitates automated cost to asset matching at the point of build up so that users can quickly allocate costs to assets based on project mappings
 
 
- New checkbox field on the NetAsset Custom Sourcing record, "Project Grouping", defines the mapping of a "From Transaction Field" and a "To Asset Field" as a project mapping
 
- Bulk build ups
- Monthly Transaction Processing- Summarized depreciation- Ability to generate a single NetAsset Depreciation entry for each subsidiary (instead of for each asset). Opt-in via NetAsset > NetAsset Setup.
 
- Clearing reconciliation on capitalization- Opt-in control on capitalization at the point of journal creation to verify that tagged clearing impacts match the cost on the asset prior to capitalizing
 
- Support for capitalization prior to the account go-live date- Assets with an in-service date before the NetAsset go-live date will now be eligible for capitalization and catch-up depreciation in the current period
 
- Monthly Transaction Reversals- Ability to reverse transactions associated with a particular NetAsset Transaction Processing batch or individual NetAsset Schedule Line while the accounting period is open
 
- Allocations- Leverage Custom Sourcing to allocate journal impacts as a portion of a certain segmentation
 
- Improved error handling
 
- Summarized depreciation
- Revaluations- Ability to override accounts used during write up/down process at the point of revaluation. Opt-in via NetAsset > NetAsset Setup.
 
- Transfers- Ability to override intercompany payable and receivable accounts at the point of transfer. Opt-in via NetAsset > NetAsset Setup. Opt-in via NetAsset setup.
 
- Reporting and Exports- Approvals page export button
- Create assets from proposals page export button
- New subledger-based roll forward report
- New asset additions waterfall report
- New filter, "In-Service Period", on the CIP roll forward allows users to reconcile additions for the current period (with costs from previous periods) more easily
- New filter, "Tagged Impacts Only", on the asset balance roll forward allows users to opt only look at transactions tagged with a NetAsset Asset
 
- Alternate Schedules- Support for alternate schedule disposals
- Support for alternate schedule write-offs
 
- Improved Multi-Book Support- Multi-Book build ups
- Multi-Book revaluations
 
- Asset Time Machine- Ability to roll back asset to it's previous state in previous periods while accounting periods are open
 
WHAT DO YOU NEED TO DO?
- Ensure bundle is installed with ample time available before the next close as cutover scripts running to update fields on the schedule entry may take several hours
- Your NetSuite Administrator should update your NetAsset bundle (Customization > SuiteBundler > Search & Install Bundles > List) with the bundle preferences outlined here
- Update the preferred form on the NetAsset Asset record to hide unused new fields from the release
- Reach out with questions on any of the new features
