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AE Assets
Provides a fast, easy and accurate way of creating and maintaining client asset records.
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Ideal if you...
Manage client Asset Registers
Support LVP and STS asset pools
Run periodic and annual reports
Have asset compliance requirements
Features
Easy-to-use and efficient
AE Assets makes it easy to manage your clients’ asset registers. You can access everything you need in an intuitive graphical interface so you can work effectively. All functions and assets are presented on the main screen, while simple forms and wizards guide you through common tasks like adding an asset register, adding new assets, selling an asset and the year-end process.
Compliance, made easier
With AE Assets you’ll have software that’s designed to assist with your taxation reporting requirements, as well as your normal accounting needs. It keeps you up-to-date with current compliance requirements such as the ability to record assets into LVP or STS asset pools. It also handles the concepts under UCA (such as effective life depreciation) productively.
Detailed reporting
AE Assets comes with a host of reports to manage your asset register and provide tax and accounting information. Whether it’s periodic or annual asset reporting, you can filter and sort information to suit your needs.
In AE Assets you’ll find:
- Detailed and summary taxation depreciation reports
- Detailed and summary accounting depreciation reports
- Capital Allowance Summary report - provides information for all AE Tax Capital Allowance Schedules
- Additions and Disposals report
- Asset Pool listing reports – LVP and STS
- General Ledger Posting report
- General Ledger Reconciliation report
Integration with AE Client Accounting
AE Assets fully integrates with AE Client Accounting . It posts depreciation and asset disposals to the General Ledger accounts, so you don’t have to enter journals manually. It makes reporting more productive too. Reports include a GL Posting report that lists journal entries posted to the General Ledger and a General Ledger Reconciliation report that reconciles the asset register to the General Ledger.


