Hi Atlassian Community
So we have set up Jira software, JSM and confluence for our ICT team and I can't speak highly enough of it. It has been amazing. the next step is Assets...
We have been using Excel to track these so we have some data but I am trying to understand how to set up insight so not only can I track assets through the organisation but integrate our purchasing into this so... for instance, I can see if stock is held in stock or out of stock or for repair.
The problem, I feel is that I just don't have enough information, I know that insight is amazing and I can set it up with discovery, but how is this represented and worked into a format that fits the organisation? Do I need to edit the input or can I configure discovery to find the information and update it in the correct field?
I have viewed the information from team 21 and what else I can find but if someone can point me towards information that might help that is amazing. Anything procurement or Asset/CI related for Jira cloud?
Thanks and sorry about the rambles - It's the end of the day:)
You must be a registered user to add a comment. If you've already registered, sign in. Otherwise, register and sign in.