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Minimize daily variances by improving accountability, transaction management and physical-to-book inventory reconciliation

Accurate Inventory Reconciliation and Reporting on a Daily Basis

FuelsManager’s provides accurate inventory reconciliation and reporting on a daily basis. Your operators are able to reconcile your book versus physical inventory for all the products your terminal manages, including additives and co-mingled products. They can also lock down accounting periods when performing reconciliation, create close-out reports automatically, quickly identify variances and maintain accurate records and documentation trails by reverse posting to correct errors. The ledger allows users to work in real-time, while loading operations are commencing. The report system is intuitive to use and provides standard reports as well a query engine that quickly allows the creation of custom reports.

Web Transactions and Accounting

Input, manage and view load rack transactions directly via a client workstation connected to the Internet - no need for local terminal automation software or servers.  This feature is coming soon!


Inventory Reconciliation and Reporting

Accurately track, manage, reconcile and report inventories by manager, owner and product on a daily basis. Learn more about inventory reconciliation and reporting here…


Terminal Automation Functionality
- Inventory Tank Gauging
- Facility Management
- Loading Operations
- Inventory Accounting