Asset Management

Asset Manager can be used to up-date the nominal ledger of any accounts system. For the award winning Access Accounts, Asset Manager will seamlessly create nominal ledger journals. For any other accounts package, Asset Manager allows you to create user definable export files in ASCII file format.
Not only will it depreciate your company’s assets automatically, you can track other details such as maintenance and service costs. You can manage insurance policies and insurance valuations making it easy to see if an asset is under or over insured and even track MOT and service dates. The in-built diary facility will ensure that important dates do not get overlooked.
Available for both Windows and Macintosh platforms, Asset Manager provides you with a level of control and flexibility that is just not possible when tracking assets manually or from spreadsheets.