keep the info provided between generated reports the same (Check in, Check out, etc.)
The information displayed in the "Checkedout Assets" report is different than the information displayed in the "Checkout Events" reports.
EX: When viewing checked out gear ("Checkedout Assets"), the generated report shows columns like "Description" and "Asset ID Number." These two columns among others are not included in the reports for "Checkin/Checkout Events" when checking gear back in. Overall, there is less info provided on the Checkin report than when viewing checked out items.
This serves as a problem on my end because I'm essentially handing off reports that don't have the same information provided considering my company especially made use of the "Asset ID Number" and "Description" columns when inputting each item into the system. I had to manually insert this info in Excel when I checked my gear back in because those columns aren't included in the report like when it was in the checked out items report.
If this explanation is unclear, I can upload images of the reports to show you the difference in information displayed between the reports (Check In Reports displays less info).
Asset Identification Number and Description columns have been added to checkout events report.
You're welcome. Keep sending your suggestions.
Have a great weekend!
That was an amazing turnaround time, this is perfect. Thank you!