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
A
creating journal entry transaction files for
importing Fixed Assets CS journal entries into
setting up journal entry accounts for asset groups
ACE calculation, tax assumption
specifying ACRS/MACRS calculation options
specifying non-ACRS/MACRS calculation options
adding units to multiple-unit activities
changing asset class list in Method/Life Wizard
reassigning assets to (Inventory module)
setting up business activities
specifying economic designation
Advancing to new processing period
creating from component assets
Allocation groups, creating for partnership depreciation
worksheet excludes some assets
Amortization information, entering
Apportionment, setting up associations
asset labels, data locations, and import maps
ASCII files, creating for import into Fixed Assets CS
creating for import into Fixed Assets CS
Asset classes, setting up in Method/Life Wizard
Asset Detail report, modifying to deduct dispositions from current depreciation
sending custom layouts to files
sending custom layouts via email
sharing between data locations
Asset reassignment to activities, situses, and associations
for personal property tax returns
reassigning assets to (Inventory module)
setting up with Association Wizard
B
Banner page, printing with reports
Barcode scanners (Inventory module)
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
applying luxury auto limitations to
modifying for IRS Notice 2000-4 and Reg. 1.168(i)-6
Business use percentage, entering for assets
C
AMT method using MACRS 150% & Farm
California 1120 C depreciation overview
furniture and fixtures recovery period
recalculating depreciation for all assets
recalculating treatment's prior depreciation for all assets
sharing state calculations between data locations
specifying non-ACRS/MACRS options
California 1120C depreciation, overview
backing up into FileCabinet CS
Client external documents, linking to
changing default font type and size
Client organizers (see Web client organizers, importing asset data from)
customizing in Asset List window
generating amounts for AMT, E&P, and ACE
Comparing prior-depreciation amounts
Connect (see CS Connect)
asset data from Tax to Book treatment
asset data from Tax to state treatment
columns or fields (Inventory module)
creating journal entry transaction files for
importing Fixed Assets CS journal entries into
setting up journal entry accounts for asset groups
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
deleting and reinstalling software updates
downloading and applying software updates
downloading and installing updated licenses
frequently asked questions about
troubleshooting connection issues
troubleshooting software update errors
Cursor movement, changing for MACRS assets
Custom links in Home Page, adding or modifying
defining for depreciation calculations
entering depreciation percentages
printing multiple pages on one page
sharing between client data locations
printing multiple pages on one page
sharing between client data locations
D
sharing configurable files between multiple
switching between data locations
Date discrepancies between UltraTax CS and Fixed Assets CS, troubleshooting
Date-in-service depreciation tax assumption
Desktop setup, running for network installations
marking assets as not located in
modifying state compliance with
modifying treatment compliance with
displaying prior-year disposals for PPT returns
entering Book calculation information
entering income classification data for 990 clients
entering related-party exchanges
entering state information for 1040 client assets
restrictions for selecting assets for mass dispositions
specifying unrecovered cost calculations when printing reports
viewing information for Form 4797 Part III gains
linking to client-specific documents
Double declining balance depreciation method (see Old law)
Downloading and applying software updates
E
Economic designation, specifying for activities
Electronic Client Organizers, importing asset data from
Email, sending data items and updates via
Entity types, changing for clients
troubleshooting connection issues and
troubleshooting errors while updating software
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
of Fixed Assets Inventory module
changing default starting field for asset data entry
customizing placement of association fields
Files, sending data items and updates to
searching for assets in Fixed Assets CS
searching for assets in Fixed Assets Inventory module
features of Fixed Assets Inventory module
printing multiple pages on one sheet of paper
G
Getting started with Fixed Assets CS
GoSystem Tax RS, setting export options for
creating ASCII files to import into Fixed Assets CS
Gulf Opportunity Zone (see Bonus depreciation)
H
resources for learning Fixed Assets CS
entering home office information
Home Office tab in asset detail
adding or modifying custom links in
I
assigning to multiple assets (Inventory module)
sharing between client data locations
asset data from Excel spreadsheets
asset data from Fixed Assets Inventory module
asset data from UltraTax/1040 Web Client Organizers
creating Excel spreadsheets for
journal entries into Accounting CS and CSA
Income classification (990 clients)
Installing Fixed Assets CS and licenses
Integration with other applications
assigning images to multiple assets
changes transferring to Fixed Assets CS
changing data to be included in
overview of Fixed Asset Inventory module
printing reports for Missing or Undetermined assets
printing worksheets and reports for conducting physical inventory
reassigning assets to different activities, associations, or situses
entering percentages for recapture
like-kind exchanges tax assumption
modifying treatments to follow
J
creating transaction files for Accounting CS and CSA
Importing into Accounting CS and CSA
printing large account numbers in reports of
setting up accounts for asset groups
K
L
Licenses, downloading and installing
in Home Page, adding or modifying
to client-specific resources, adding or modifying
entering listed property information
viewing prior-year data for listed property
M
specifying ACRS/MACRS calculation options
specifying non-ACRS/MACRS calculation options
using the MACRS SL class life method
creating ASCII files to import into Fixed Assets CS
Fixed Assets CS Getting Started guide
restrictions on selecting assets
changing asset class list for activities
exporting Fixed Assets CS data to files for import into
forcing assets to be excluded from
forcing assets to be included in
Multiple users, sharing data among
N
O
designating assets as real property
Setting user-specific 2-up and duplex print options
customizing calculations for ACRS/MACRS and non-ACRS/MACRS assets
rounding amounts in reports and forms
specifying columns in Asset List window
Organizers (see Web client organizers, importing asset data from)
P
Partial dispositions, entering
Partnership allocation groups, creating
restricting access to client data
restricting access to program tasks
creating ASCII files to import into Fixed Assets CS
PDFs, exporting forms and reports to
advancing for multiple clients
assigning to multiple assets (Inventory)
Practice CS, entering client notes for
transferring template items to clients
assets from Miscellaneous activity folder
changing sort options for 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
reports, specifying availability of
recalculating for all assets with current treatment
advancing for multiple clients
Profiles for printing reports and forms
transferring template items to clients
Property, setting up associations
R
qualified for section 179 expenses
to different activities, situses, and associations
to different activities, situses, and associations (Inventory)
to personal property tax associations
to UltraTax CS state apportionment associations
Reconciling assets (Inventory)
like-kind exchanges tax assumption
modifying Book treatments to follow
automatically with lowest available number
multiple assets, in order listed in Asset List window
copying assets in Inventory module
changing sort options when printing
printing Client Listing reports
printing multiple pages on one page
saving options as print profiles
custom methods and reports from backup copy
marking asset group as reviewed
S
about disposed assets with Section 179 expenses for 1065 and 1120 clients
viewing information for Form 4797 Part III gains
Scanners for barcodes (Inventory module)
asset type for first-year depreciation
bonus depreciation allowed by tax laws
creating custom reports with Section 168(k) information
modifying state's compliance with
modifying treatment's compliance with
modifying treatment limitations
viewing expense calculations for assets
entering organizational expenses
viewing expense calculations for assets
Section 280F, recapturing amounts
barcode scanners (Inventory module)
special allocation groups for partnership depreciation data
reassigning assets to (Inventory module)
Software updates, downloading and applying
disposed with Section 179 expense for (1065 and 1120)
restrictions for selecting for mass dispositions
Special allocation groups, setting up for UltraTax/1065
Spooling reports for future printing
applying luxury auto limitations to
California 1120 C depreciation
changing State treatment to appropriate postal code
modifying Section 179 expense limitations
modifying state compliance with bonus depreciation
setting options for state treatment columns
sharing state calculations between client data locations
defining events to track status
discouraging client access with
logging automatically by Fixed Assets CS
Straight-line depreciation method (see Old law)
Sum-of-the-years-digits depreciation method (see Old law)
T
Tag number reports, specifying assets in
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
transferring template items to existing clients
Terminal server environment, installing in
Tips for using Fixed Assets CS
disposed with Section 179 expense (1065 or 1120)
Transfers between activities or associations
applying luxury auto limitations to other
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
options for asset data entry and calculations
setting up in Method/Life Wizard
specifying states after converting data
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
U
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
Update print profiles from template
Updates to software, downloading and applying
setting miscellaneous program options
V
Van or light truck, property type
viewing information for all vehicle assets
W
WalkThrough guide in PDF, viewing and printing
Web Client Organizers, importing asset data from
printing to conduct physical inventory
Write-Up CS (see Creative Solutions Accounting)
X
Y
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