Check Integrity

This routine checks the integrity of tables in the Fixed Asset environment and generates a report of the problems detected. The system date will be the date of the month immediately after the last calculation or the month of implementation, if no calculation has been made yet.

Procedures:

To check the integrity of fixed assets data:

1. When the Check Integrity option is accessed, the Checking Integrity window is displayed, highlighting the objective of the routine.
2. Click OK to confirm execution of the processing.

If any problem is detected in the database, the system generates a report indicating the errors found. Otherwise, only a screen informing that no problem was found will be displayed.