AssetAccountant™ needs to know at what point in time the WDV represents the value of the assets held in the fixed asset register. These values can only be as at the end of any month.


Please see the “Importing to Pools” documentation for more information on importing assets directly to pools.

Note: If you are importing assets that have not started depreciation i.e. they have a WDV equal to cost. These assets are to be separated and imported under the Opening Balance Date of 'No opening balance'. AssetAccountant™ will treat these as brand new assets and start depreciating them as of the first use date. This is the same process to import bulk additions to a register.

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Related documents

Implementation Guide Pack (This contains all of the Implementation Guide articles in a .pdf and the excel sheets that accompany the guide).