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i3’s solution can manage business accounting at one terminal or 100 terminals dispensing any kind of bulk product. i3’s solution can track all your:
- Receipts
- Dispensing of metered, injected, and weighed product
- Allocations and credit
- Exchange agreements
- Inventory
- Storage
- Batch schedules
- Dispatched and rack orders
- Multiple Product ranges
- Product throughput
Standard Reports for the following can be generated:
- Throughput
- Allocation and inventory
- Alarm and event summary
- Daily operations (end of day)
- Monthly operations (end of month)
- Contracts
- Exchange agreements
- Credit
- Detail stock gain/loss
- Month-to-date product transfer
- Customer lists
- Invoices
- Bills of lading
- Certifications/expirations
- Trend reports based on event or date/time
- Custom reports can also be created for your specific needs
i3’s Solution can also interface with:
- Interfaces with all host & Field systems
- Delivers real-time terminal inventory information directly to terminal management desktops
- Enables customers and suppliers to enter, manage, and track their own exchanges, contracts, allocations, orders, nominations, and ticketing via secure web access
- Can automatically extract pertinent excise tax information from the database and electronically or manually file the mandatory monthly report with the proper taxing authorities
- Minimizes manual collection of data and reduces human error
- Controls data access by a strict security protocol that can be password protected to meet the needs of your operation
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