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Check-in from calibration

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Task:

Check-in from calibration

Who receives it:

Users of the team responsible for the asset check-out for calibration

When:

A check-out for calibration protocol is issued.

Purpose:

To define the calibration asset check-in information, such as: costs, attributes, date, among others.

 

How to execute this task:

 

1.Select the desired asset from the list of pending records.

 

2.After that, click on the toolbar button.

 

3.On the screen that will be opened, enter the date and time in which the asset was checked in from calibration and other necessary information (costs, attributes etc.). See a detailed description of the other displayed fields and tabs in the Checking an asset in from calibration section.