AssetTieTM benefits include:

1. Reduce time involved in Asset to General
     Ledger Reconciliation:
          – Asset Clearing Accounts
          – Asset Cost Accounts
          – Asset Reserve Accounts
          – CIP Clearing Accounts
          – CIP Cost Accounts
          – Depreciation Expense (Month)
          – Depreciation Expense (YTD)
2. Reduce time involved in Tax Books to
     Corp Books Reconciliations:
          – Additions
          – Cost Adjustments
          – Retirements
3. Active Asset Extract File
4. Publish either in PDF or Excel format