It is mandatory that this date falls in the current financial year for each of the contexts at each of the source and target companies.
This date will be used to load :
- The issue date Displayed at the level of the source company assets.
Note: the effective date of the issue taken into account at the level of the charge calculation for the financial year will in reality correspond to the effective date minus 1 day.
No charge is in effect calculated on the issue date (irrespective of the value taken by the general parameter PADDOTJSO : No charge calculated on the issue date).
- 2/ The purchase date and the first day of service for the assets, in the case where the parameterisation of this management rule at the level of the Other rules tab specifies it.