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Varec, Inc.
5834 Peachtree Corners East
Norcross (Atlanta), GA 30092
USA |
Accurate Reporting on a Daily Basis. FuelsManager includes a monthly inventory accounting ledger
to allow accurate tracking and management of inventories by
manager, owner and product.
Inventory Reconciliation
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- Create End-of-Day or End-of-Month closeout reports automatically
by manager, stockholder and product.
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- Work in real-time with an inventory accounting ledger, that is
updated as product is loaded.
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- Minimize downtime by controlling close-out periods and
automating load rack end-of-day processes.
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- Capture physical inventories from bulk storage and calculate
variances in your close-out records.
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- Maintain accurate records and documentation trails by reverse
posting to correct errors.
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- Reconcile your book versus physical inventory for all the products
your terminal manages, including additives and co-mingled
products.
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- Lock-down accounting periods once reconciliation begins so
that operational personnel cannot modify the data during
reconciliation.
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- Automatically deliver reports to your customers via e-mail in
standard business formats, such as Microsoft Excel, Microsoft
Word, CSV and PDF for presentation throughout your company.
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Applications
Load Rack Automation
Order Management
Tank Gauging & Inventory Management
SCADA
Product Movement Tracking
Documents
Terminal Automation Edition
“Manage transactions and perform
physical-to-book inventory reconciliation -
minimizing daily variances and improving
accountability - using your business rules”
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