Index for Fixed Assets CS

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1 - 2 | A | B | C | D | E | F | G | H | I | J | K | L | M | N | O | P | Q | R | S | T | U | V | W | X | Y | Z

1 - 2

1065 allocation groups

adding and removing assets

creating

2-up printing

setting layout options

setting user-specific options

A

Accounting CS

creating journal entry transaction files for

importing Fixed Assets CS journal entries into

setting up journal entry accounts for asset groups

specifying locations of files

ACE calculation, tax assumption

ACRS

depreciation method

specifying ACRS/MACRS calculation options

specifying non-ACRS/MACRS calculation options

Activities

adding units to multiple-unit activities

changing asset class list in Method/Life Wizard

reassigning assets to

reassigning assets to (Inventory module)

setting up associations

setting up business activities

specifying economic designation

transferring assets between

Advancing to new processing period

for multiple clients

for one client

Aggregate assets

creating from component assets

editing component assets

Allocation groups, creating for partnership depreciation

Alternative Minimum Tax

calculations

worksheet excludes some assets

Amortization information, entering

Apportionment, setting up associations

Archiving

asset labels, data locations, and import maps

client data

custom methods and reports

with FileCabinet CS

ARRA

ASCII files, creating for import into Fixed Assets CS

creating for import into Fixed Assets CS

exporting data to

Asset classes, setting up in Method/Life Wizard

Asset detail

overview

using Method/Life Wizard in

Asset Detail report, modifying to deduct dispositions from current depreciation

Asset Import tabs

Asset labels

backing up

including barcodes in

printing

restoring

sending custom layouts to files

sending custom layouts via email

sharing between data locations

Asset life table (MACRS)

Asset List window

Asset reassignment to activities, situses, and associations

Association fields

customizing placement

deleting custom associations

Associations

for personal property tax returns

overview

reassigning assets to

reassigning assets to (Inventory module)

setting up

setting up with Association Wizard

transferring assets between

Auto tax assumptions

B

Backing up

asset labels

client data

custom methods and reports

data locations

import maps

with FileCabinet CS

Banner page, printing with reports

Barcode scanners (Inventory module)

changing control object

configuring settings

troubleshooting issues

Barcodes

including in asset labels

scanning for Inventory module

Bonus depreciation

allowed by tax laws

electing

forcing bonus property types

GO Zone / JGTRRA asset types for first-year depreciation

marking assets as located in Disaster Area

marking assets as located in Gulf Opportunity Zone

marking assets as not located in Disaster Area

marking assets as not located in Gulf Opportunity Zone

marking clients as located in Disaster Area

marking clients as located in Gulf Opportunity Zone

modifying state's compliance with

modifying treatment's compliance with

overview

qualified assets

Book treatment

applying luxury auto limitations to

modifying for IRS Notice 2000-4 and Reg. 1.168(i)-6

Bulletins, reading

Business use percentage, entering for assets

C

Calculations

AMT method using MACRS 150% & Farm

California 1120 C depreciation overview

displaying

furniture and fixtures recovery period

in Fixed Assets CS

prior depreciation comparison

recalculating assets

recalculating depreciation for all assets

recalculating treatment's prior depreciation for all assets

sharing state calculations between data locations

specifying ACRS/MACRS options

specifying non-ACRS/MACRS options

tax assumptions

California 1120C depreciation, overview

Capacities of Fixed Assets CS

Checking in client data

Checking out client data

Checkpoint, logging in

Client data

adding

adding states to

backing up

backing up into FileCabinet CS

changing entity type

checking in

checking out

restoring

sharing with multiple users

Client external documents, linking to

Client lists, rebuilding

Client notes, adding

adding

changing default font type and size

Client organizers (see Web client organizers, importing asset data from)

Closing processing periods

for multiple clients

for one client

Columns

customizing in Asset List window

generating amounts for AMT, E&P, and ACE

generating amounts for custom

Comparing prior-depreciation amounts

Component assets

adding to aggregate assets

editing

Connect (see CS Connect)

Copying

asset data from Tax to Book treatment

asset data from Tax to state treatment

assets

assets (Inventory module)

assets between clients

columns or fields (Inventory module)

Creative Solutions Accounting

creating journal entry transaction files for

importing Fixed Assets CS journal entries into

setting up journal entry accounts for asset groups

specifying file locations

Credits

entering Alternative Motor Vehicle Credit information

entering Hawaii excise tax credit information

entering Qualified Plug-In Electric Drive Motor Vehicle Credit information

entering Qualified Plug-In Electric Vehicle Credit information

entering tax credit information

CS Connect

deleting and reinstalling software updates

downloading and applying software updates

downloading and installing updated licenses

frequently asked questions about

overview

setting communication options

testing connections

troubleshooting connection issues

troubleshooting software update errors

Cursor movement, changing for MACRS assets

Custom associations

creating

deleting

Custom links in Home Page, adding or modifying

Custom methods

adding

backing up

defining for depreciation calculations

entering depreciation percentages

overview

printing multiple pages on one page

restoring from backup

sending to files

sharing between client data locations

Custom reports

backing up

creating

modifying and deleting

printing multiple pages on one page

restoring from backup

sending to files

sharing between client data locations

D

Data entry overview

Data locations

adding

backing up

of asset data files

of client data files

restoring

sharing configurable files between multiple

specifying

switching between data locations

Date discrepancies between UltraTax CS and Fixed Assets CS, troubleshooting

Date-in-service depreciation tax assumption

Demo library

Depreciation

comparing amounts

methods

procedures

state depreciation overview

tab in Asset Detail dialog

Desktop setup, running for network installations

DIF files, exporting data to

Disaster areas

allowed by tax laws

choosing elections for

forcing property types

managing assets for

marking assets as located in

marking assets as not located in

marking clients as located in

modifying state compliance with

modifying treatment compliance with

qualified assets

Disposals

displaying prior-year disposals for PPT returns

entering Book calculation information

entering disposal information

entering income classification data for 990 clients

entering installment sales

entering mass dispositions

entering partial dispositions

entering related-party exchanges

entering state information for 1040 client assets

methods of

restrictions for selecting assets for mass dispositions

specifying unrecovered cost calculations when printing reports

viewing information for Form 4797 Part III gains

Documents

linking to client-specific documents

sending to files

sending via email

Double declining balance depreciation method (see Old law)

Downloading and applying software updates

Duplex printing

setting layout options

setting user-specific options

E

E&P treatments

setting up

tax assumptions for

Economic designation, specifying for activities

Electronic Client Organizers, importing asset data from

Email, sending data items and updates via

Entity types, changing for clients

Error messages in CS Connect

troubleshooting connection issues and

troubleshooting errors while updating software

Excel (Microsoft)

exporting asset data to

exporting journal entries to

exporting reports to

importing data from

Exporting

(see also) Importing

asset data to DIF, ASCII, and XLS files

journal entries for Accounting CS and CSA

journal entries to Microsoft Excel

reports and forms to Microsoft Excel and PDF

setting options for GoSystem Tax RS

F

Features

of Fixed Assets CS

of Fixed Assets Inventory module

Fields

changing default starting field for asset data entry

customizing placement of association fields

navigating with keyboard

File locations, specifying

FileCabinet CS

backing up client data to

entering client notes for

overview

printing to

Files, sending data items and updates to

Find Asset feature

searching for assets in Fixed Assets CS

searching for assets in Fixed Assets Inventory module

Fixed Assets CS

features of CS Connect

features of Fixed Assets CS

features of Fixed Assets Inventory module

file locations

getting started with

setting global system options

Fixed Assets Inventory module

(see also) Inventories

overview

Folders block in main window

about

hiding

Forms and worksheets

8829 information

modifying

page layout

print options for Form 4255

print options for Form 4562

print options for Form 4797

printing

printing multiple pages on one sheet of paper

Frequently asked questions

Function keys

list of

using

G

Getting started with Fixed Assets CS

Glossary

GoSystem Tax RS, setting export options for

Graph summary, using

Grouping assets

for mass dispositions

for partnership allocation

Guides in PDF

creating ASCII files to import into Fixed Assets CS

Fixed Assets CS WalkThrough

viewing with Adobe Reader

Gulf Opportunity Zone (see Bonus depreciation)

H

Hawaii excise tax credit

entering credit information

viewing calculations for

Help

contacting Support

frequently asked questions

resources for learning Fixed Assets CS

using Help & How-To Center

viewing and printing guides

viewing user bulletins

Home office

entering home office information

Home Office tab in asset detail

viewing prior-year data for

Home Page

adding or modifying custom links in

displaying

I

Identification of assets

activities

associations

Images

acquiring for multiple assets

acquiring for one asset

assigning to multiple assets

assigning to multiple assets (Inventory module)

deleting from clients

overview

printing image reports

reassigning to assets

removing from multiple assets

removing from one asset

Import maps

setting up

sharing between client data locations

Importing

(see also) Exporting

asset data from ASCII files

asset data from Excel spreadsheets

asset data from Fixed Assets Inventory module

asset data from UltraTax/1040 Web Client Organizers

creating ASCII files for

creating Excel spreadsheets for

journal entries into Accounting CS and CSA

Income classification (990 clients)

Installing Fixed Assets CS and licenses

Installment sales, entering

Integration with other applications

Inventories

adding assets to

assigning images to multiple assets

assigning inventory status

changes transferring to Fixed Assets CS

changing data to be included in

changing review status

conducting physical inventory

copying and pasting assets

copying and pasting fields

excluding assets

finalizing

finding assets

marking assets as reviewed

modifying asset data

new

opening active inventories

overview of Fixed Asset Inventory module

printing asset labels

printing reports for Missing or Undetermined assets

printing worksheets and reports for conducting physical inventory

processing sequence

reassigning assets to different activities, associations, or situses

reconciliation overview

reconciling assets

reporting

review status

standard reports

standard worksheets

status assignments

statuses

Investment credit

entering

entering percentages for recapture

IRS Notice 2000-4

how Fixed Assets CS handles

like-kind exchanges tax assumption

modifying treatments to follow

J

Journal entries

creating transaction files for Accounting CS and CSA

exporting to Microsoft Excel

Importing into Accounting CS and CSA

printing large account numbers in reports of

setting up accounts for asset groups

K

Keyboard shortcuts

L

Labels

editing

editing sizes of

printing

Lease inclusion calculation

Leased property

Licenses, downloading and installing

Like-kind exchanges

entering disposal information

entering mass dispositions

tax assumption

Limits of Fixed Assets CS

Links

in Home Page, adding or modifying

to client-specific resources, adding or modifying

Listed property

entering listed property information

overview of property type

viewing prior-year data for listed property

Luxury auto (passenger)

M

MACRS

Asset Life table

depreciation methods

specifying ACRS/MACRS calculation options

specifying non-ACRS/MACRS calculation options

tax assumption

using the MACRS SL class life method

Manuals

available in Fixed Assets CS

creating ASCII files to import into Fixed Assets CS

Fixed Assets CS Getting Started guide

Mass dispositions

entering

restrictions on selecting assets

Master passwords

Menu options

Fixed Assets CS

Fixed Assets Inventory module

Method/Life Wizard

changing asset class list for activities

overview

setting up asset classes

setting up methods and lives

setting up treatments

using

Methods of depreciation

Methods of disposal

Microsoft Excel

exporting Fixed Assets CS data to files for import into

exporting journal entries to

exporting reports to

importing data from

Mid-quarter convention

overview

using

Mid-quarter determination

forcing assets to be excluded from

forcing assets to be included in

Miscellaneous activity folder

Moving assets

Multiple users, sharing data among

Multiple-unit activities

N

Network installations

Network locks, clearing

No168k treatment

Notes

adding to assets

adding to clients

Numbering assets

changing automatic numbering

renumbering multiple assets

renumbering single assets

O

Obtaining and installing licenses

Oil and gas assets

Associations / Oil & Gas

entering

setting up associations for

Old law

depreciation methods

designating assets as real property

Options

Setting user-specific 2-up and duplex print options

Options dialog [Setup menu]

customizing calculations for ACRS/MACRS and non-ACRS/MACRS assets

printing reports and forms

printing, 2-up and duplex

rounding amounts in reports and forms

specifying columns in Asset List window

Organizational expenses

entering

viewing calculations of

Organizers (see Web client organizers, importing asset data from)

P

Partial dispositions, entering

Partnership allocation groups, creating

Passwords

restricting access to client data

restricting access to program tasks

PDF guides

creating ASCII files to import into Fixed Assets CS

Fixed Assets CS WalkThrough

installing Adobe Reader

PDFs, exporting forms and reports to

Periods (processing)

advancing for multiple clients

changing for one client

Personal property taxes

adding states to clients

entering asset data for

setting up associations for

Pictures

acquiring for Image Library

assigning to multiple assets

assigning to multiple assets (Inventory)

copy from files

deleting from current client

removing from multiple assets

removing from one asset

scanning

Practice CS, entering client notes for

Previewing reports and forms

Print profiles

creating

deleting

modifying

overview

transferring template items to clients

Printing

(see also) Print profiles

2-up and duplex options

asset labels

Asset List reports

assets from Miscellaneous activity folder

at later time

changing sort options for reports

Client Listing reports

duplex and 2-up options

FileCabinet CS, to

forms

image reports

inventory reports for conducting physical inventory

inventory reports for missing or undetermined assets

multiple pages on one sheet of paper

options for most recent print job

overview

preferences

previewing reports and forms

report categories

reports

reports for current asset

reports, specifying availability of

summarized reports

troubleshooting

user bulletins

Prior depreciation

calculation comparison

recalculating for all assets with current treatment

Prior-year disposals

Processing periods

advancing for multiple clients

changing for one client

Product support

calling CS Support

getting help

Profiles for printing reports and forms

creating

deleting

modifying

overview

transferring template items to clients

Property, setting up associations

R

Real property

designating assets as

qualified for section 179 expenses

Reassigning assets

to different activities, situses, and associations

to different activities, situses, and associations (Inventory)

to personal property tax associations

to UltraTax CS state apportionment associations

Recapture calculations

for Hawaii excise tax credit

for investment credit

under Section 280F

Reconciling assets (Inventory)

Recovery Act

Reg 1.168(i)-6

how Fixed Assets CS handles

like-kind exchanges tax assumption

modifying Book treatments to follow

Related-party exchange

Rename client

Renumbering assets

automatically with lowest available number

multiple assets, in order listed in Asset List window

single assets

Replicate assets

copying assets

copying assets in Inventory module

cutting assets

Reports

(see also) Custom reports

availability of, for printing

categories

changing sort options when printing

creating custom

exporting to Microsoft Excel

features

features (Inventory module)

modifying

printing Client Listing reports

printing multiple pages on one page

printing preferences

printing summarized reports

saving options as print profiles

spooling for future printing

Restore

asset labels

client data

custom methods and reports from backup copy

data locations

Retired assets

Reviewing assets (Inventory)

inventory review status

marking asset group as reviewed

Rounding

specifying rounding options

tax assumptions

S

Sales of business properties

about disposed assets with Section 179 expenses for 1065 and 1120 clients

entering installment sales

viewing information for Form 4797 Part III gains

Scanners for barcodes (Inventory module)

(see also) Barcodes

changing control object

configuring settings

troubleshooting issues

Scanning images

Section 168(k)

(see also) Bonus depreciation

asset type for first-year depreciation

bonus depreciation allowed by tax laws

choosing elections for

creating custom reports with Section 168(k) information

forcing bonus property type

modifying state's compliance with

modifying treatment's compliance with

overview

qualified assets

Section 179

electing expenses

eligible assets

eligible property, forcing

eligible property, preventing

limitation calculation

modifying state limitations

modifying treatment limitations

summary graph

tax assumptions

Section 195

entering start-up expenses

viewing expense calculations for assets

Section 248/709

entering organizational expenses

viewing expense calculations for assets

Section 280F, recapturing amounts

Security options

client passwords

master password

setting

Setting up

Association Wizard

associations

barcode scanners (Inventory module)

CS Connect

Fixed Assets CS

Method/Life Wizard

PPT associations

security options

special allocation groups for partnership depreciation data

treatments

Short years

adding clients with

entering for current client

Shortcut keys

Situses

reassigning assets to

reassigning assets to (Inventory module)

selecting for client assets

Software updates, downloading and applying

Sold assets

disposed with Section 179 expense for (1065 and 1120)

entering disposal information

restrictions for selecting for mass dispositions

Special allocation groups, setting up for UltraTax/1065

Spooling reports for future printing

Sport utility vehicles

entering information for

property type overview

Standard forms

Standard reports

Start-up expenses

entering

viewing calculations of

States

adding to clients

applying luxury auto limitations to

California 1120 C depreciation

changing State treatment to appropriate postal code

depreciation overview

modifying Section 179 expense limitations

modifying state compliance with bonus depreciation

overview of

reassigning assets to

setting options for state treatment columns

sharing state calculations between client data locations

Status events

defining events to track status

discouraging client access with

logging automatically by Fixed Assets CS

logging for a client

Status of inventory

assignment of

overview

Straight-line depreciation method (see Old law)

Sum-of-the-years-digits depreciation method (see Old law)

Support, contacting

T

Tag number reports, specifying assets in

Tax credits

entering Alternative Motor Vehicle Credit information

entering Hawaii excise tax credit information

entering Qualified Plug-In Electric Drive Motor Vehicle Credit information

entering Qualified Plug-In Electric Vehicle Credit information

entering tax credit information

Tax forms

printing or previewing

reporting

Templates

setting up

transferring template items to existing clients

updating profiles from

Terminal server environment, installing in

Tips for using Fixed Assets CS

Toolbars

Fixed Assets CS

Fixed Assets Inventory module

Traded assets

disposed with Section 179 expense (1065 or 1120)

entering disposal information

Transfers between activities or associations

transferring multiple assets

transferring one asset

Treatments for depreciation

applying luxury auto limitations to other

building

California 1120 C depreciation overview

copying asset data from Tax to Book treatment

copying asset data from Tax to state treatment

modifying compliance with bonus depreciation

modifying Section 179 expense limitations

No168k treatment

options for asset data entry and calculations

setting up

setting up in Method/Life Wizard

specifying states after converting data

treatment columns

Trial Balance CS (see Creative Solutions Accounting)

Troubleshooting

fiscal year-end date discrepancies in UltraTax CS and Fixed Assets CS

general connection issues in CS Connect

modem connection issues in CS Connect

printing

proxy server issues in CS Connect

testing your connection in CS Connect

TWAIN devices (see Images)

U

UltraTax CS

entering client notes for

partnership clients, setting up special allocation groups for

personal property tax returns, displaying prior-year disposals

personal property tax returns, entering asset data

personal property tax returns, setting up associations for

personal property tax returns, states available

special allocation groups, setting up for UltraTax/1065

state apportionment, setting up associations for

UltraTax/1040 Web Client Organizers, importing asset data from

Unattended calls

Undo asset changes

Update print profiles from template

Updates to software, downloading and applying

Upside down printing

User bulletins

User preferences

setting data locations

setting miscellaneous program options

setting print options

setting report layouts

V

Van or light truck, property type

Vehicle

entering information for

lease inclusion calculation

NY sport utility vehicle

property types

questions for Form 4562

viewing information for all vehicle assets

viewing prior-year data for

Video library

W

WalkThrough guide in PDF, viewing and printing

Web Client Organizers, importing asset data from

Wizards

Association Wizard

Disposal Wizard

Method/Life Wizard

Worksheets

printing to conduct physical inventory

Standard inventory reports

Standard inventory worksheets

Write-Up CS (see Creative Solutions Accounting)

X

XLS files

exporting data to

importing data from

Y

Year ends

adding short-year clients

entering short year for current client

moving to different

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