EAM: Asset Reinstatement Dates
(Doc ID 2441830.1)
Last updated on JULY 22, 2020
Applies to:PeopleSoft Enterprise FIN Asset Management - Version 9.2 and later
Information in this document applies to any platform.
I need to reinstate a few assets that were incorrectly retired in the wrong period, and then re-retire them in the correct period. However, when I go to the Retire/Reinstate Asset page, the fields for transaction and accounting dates are protected and defaulted to today's date. Please let me know the proper process to reinstate the asset as of the period in which it was retired.
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