Revaluation of an asset /visma-net-erp/help/fixed-assets/manage-fixed-assets/revaluation-of-an-asset section 2026-02-19T17:09:06+01:00 # Revaluation of an asset Change net book value of an asset /visma-net-erp/help/fixed-assets/manage-fixed-assets/revaluation-of-an-asset/change-net-book-value-of-an-asset section You use the Reconciliation tab of the Fixed assets (FA303000) window to change the net book value of the selected asset. 2026-02-19T17:09:06+01:00 # Change net book value of an asset You use the Reconciliation tab of the Fixed assets (FA303000) window to change the net book value of the selected asset. For more information: [Fixed assets (FA303000)](/visma-net-erp/help/fixed-assets/fixed-asset-windows/fixed-assets-fa303000/). 1. Go to the [Fixed assets (FA303000)](/visma-net-erp/help/fixed-assets/fixed-asset-windows/fixed-assets-fa303000/) window. 1. In the **Asset ID** field, select the asset whose net book value you want to change. 1. On the **Reconciliation** tab, in the **Reconciliation type** field, specify if you want to increase or decrease the net book value of the asset. 1. Set up the criteria to select the document declaring the change in the net book value of the asset. Do the following: 1. In the **Account** field, specify the account of the document. 1. In the **Subaccount** field, specify the subaccount of the document. 1. In the **Trans. date** field, specify the date of the reconciliation transaction. 1. In the **Addition period** field, specify the financial period of the reconciliation transaction. 1. In the table, select the **Selected** check box for the document to be used. 1. Make sure the **Component** check box is cleared. 1. In the **Selected amount** field, specify the amount of the transaction. 1. Click **Process** in the table toolbar to process the transaction. 1. Click ![icon-save](/media/visma-net-erp/icon-save.png). 1. Release the resulting transactions as directed by your company workflow. [Release a fixed asset transaction](/visma-net-erp/help/fixed-assets/daily-routines/release-a-fixed-asset-transaction/) For more information, see: The resulting transactions affect the net book value and the current cost of the selected asset displayed on the **Balance** and **Reconciliation** tabs.

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