CIEL Fixed Assets - version 1.4.0
– A new option, Duplicate company, has been inserted in Folders menu
– A duplicate option has been inserted: Multiple duplicate of asset record and Multiple duplicate of inventory items
– The configuration procedure of the budget – analytic code has been modified in order to keep the modification history
– A submenu has been inserted within FOLDERS menu in order to change the budget-analytic codes
– The possibility of displaying the history of all the modifications has been inserted directly in the Asset Record
– Within the display of the stock in the Asset Record, the possibility of displaying the modification history of the budget-analytic code has been also inserted
– 3 new reports have been inserted within Miscellaneous Prints
o Prints -> Monthly expenses -> by detailed Assets Code
o Prints -> Miscellaneous prints -> Detailed inventory
o Prints -> Miscellaneous prints -> with the Inventory number register
CIEL Fixed Assets - version 1.3.0 - 07.November.2007
On-line Help/Update – Ciel Imobilizari can be updated on-line.
Two images can be uploaded on the fixed asset record – in bmp, jpg or gif format. The option can be found in Observations.
Grouped Prints/Balances – calculation and print algorithm has been modified and optimized.
CIEL Fixed Assets - version 1.2.0 - 22.December.2006
- Insertion of the Budget codes for the public (budgetary) institutions, according to the laws in force. These are automatically loaded in case that, when creating a company, you check the “Budgetary company” option (According to G.O. 81 of 28 August 2003)"
- Now you can edit the depreciation value to the desired value, in the case of an assets record for which you check the “no depreciation” option.
Six new reports were inserted:
- Monthly expenses by detailed assets code. Contains the depreciation value, monthly expenses, cumulated depreciation and the value remaining for depreciation
- List of assets without depreciation, per account
- List of assets with purchase value, per account
- List of assets per account and localization
- Inventory list after localization. Contains the depreciation value, depreciated value and the value remaining for depreciation
- Inventory list
CIEL Fixed Assets - version1.1.0 - 16.Octomber.2006
- Optimization of the “Assets per account”, “Assets per localization”, “Assets per storage”, “Assets per category” reports and statistics.
- Insertion of the “Change localization” option on the fixed asset’s record. With each change of localization a history is automatically generated which can be found in the Files – Change localization menu. The localization change is made on the assets record, by inserting the new localization and the date when the modification is made. The date is always the end of the month. When the calculation is remade, the localization change from the history corresponding to the chosen calendar date is automatically inserted in the asset’s record.
- The balance is not listed in thousands of lei any more, but in lei.
- The Account/Localization/Degree change cannot be done any more with a calendar date lower than the date of purchase.
- The date of the value modification cannot be lower than the “Start date” on the record of the asset in question.
CIEL Fixed Asstes - version 1.070 - 11.May.2005
- New “Update classification codes” report, with the list of the fixed assets whose catalogue code was changed.
- Modification of graphic aspect for the Windows 98 operating system.
- Together with the depreciation, the budget codes can also be viewed by depreciation accounts in the “Expenses journal” report.
CIEL Fixed Assets - version 1.069 - 06.April.2005
Makes the transition to the new leu (RON) according to Law 348 of 14 July 2004 concerning the denomination of the national currency.
1. The “Update to new leu” option was added in the Tools menu. This option ensures the possibility to create a company in RON currency. 1RON=10000ROL.
This option is used in the following way:
- on accessing this option for the FIRST time, a new company is created on the basis of the company you wish to transform, where the fields containing ROL currency-type numerical data are updated to RON (division by 10000).
The new company’s code will be composed of the concatenation of the old code plus the ‘RON’ prefix (for example, a company with code 1234 will eventually have the 1234RON code). In order to access the corresponding company in RON currency from the company in ROL currency, you can do so from the ‘Tools’ menu, ‘Company in new lei (RON)’ submenu. And vice-versa, in order to access the corresponding company in ROL currency from the company in RON currency, you can do so from the ‘Tools’ menu, ‘Company in old lei (ROL)’ submenu.
- When you NEXT access the “Update to new leu” option, the data base imported into RON currency will be updated as follows:
a) ALL the new records from the ROL data base tables are added
b) ALL the modifications of the assets records are brought from ROL into RON only if the RON data base was not ROL value-modified (for the record in question).
c) a record deleted from RON is reimported from ROL if the update is made again.
2. Under the “Update classification accounts and remaining durations” option the “Include inventory items” configuration was added, by means of which you can select whether to update the records that are (or can be transformed into) inventory objects.
3. The “Assets per account”, “Assets per localization”, “Assets per storage”, “Assets per category” reports were modified so that the residual value is not displayed any more in the assets without depreciation.
4. Under Configure company/Company parameters, the configuration option of the decimal value became active (modifiable).
5. Optimization of recalculation option.
CIEL Fixed Asstets - version 1.060 - 09.February.2005
1. The new classification codes were inserted according to GD 2139/30.11.2004 (OG 46/13.01.05).
2. The Update classification codes/remaining durations options was updated according to GD 2139/30.11.2004 (OG 46/13.01.05).
3. The starting date under “Value modification” can be configured. Under “Company parameters/Usage options” the possibility of choosing the starting month for the value modification was inserted. The default setting is for the modification to start during the month when the modification was made. If desired, the value modification can be chosen to start the month following the date when the modification was made.
4. The printing option the asset record was modified. The printing lists the asset record according to the code 14-2-2.5 form. The printing was modified in the “list”-type windows. The user can choose the fields he wants for the grid printing, as well as the numerical fields whose totals he wants to create. Other facilities are presented, concerning the choice of printing format, of the font type and size.
6. The procedure concerning the change between the various types of assets was extended. The type of depreciation was also changed for the “no depreciation” records.
7. Improvements of the procedure concerning the import from the CIEL Imobilizari Windows and Imobilizari DOS programs.
8. Addition of facilities concerning the connection of ‘Users’-type users.
CIEL Fixed Assets - version 1.047 - 02.August.2004
1) The catalogue codes balance was added.
2) Optimization of the recalculation speed.
3) Modification of the “Asset Record” window to be used under 800x600 resolution.
CIEL Fixed Assets - version 1.035 - 09.June.2004
1) The algorithm concerning the asset blocking for the budgetary companies was modified. For the assets incoming before 31/12/2003, blocking is no longer necessary.
2) In the assets window, the depreciation value field was modified so that it can be higher than the acquisition value even upon creation.
3) The data base can be saved under a name which is different from the one existing in the data base.
4) The client only installation part was added to the installation (without MSDE).
5) Options were added to the help section.
CIEL Fixed Asstes - version 1.027 - 30.April.2004
Official Lunching