Fuel Prime Automatic Wet Stock Reconciliation system has been created to optimize wet stock management and consists of the following elements:
We are happy to offer you a system including:
The system for smooth data transfer from the delivery schedule to the onboard computer of the tank cistern. It verifies and confirms discharges on-site and provides these data back to the planning system for confirmation and accounting.
The main goal of the system is to automatize the process of delivery control and invoicing, as well as to reduce the manual processing of documents.
OBC system for tablet devices providing the driver with the necessary data to execute the distribution route
Automated loading processes at terminals
Recording and online monitoring of the distribution route parameters
Monitoring of fuel unloading processes at the station
Recording of non-typical events, such as truck maintenance routes, vehicle departures, or transferring the product between service stations
Automated process of invoicing shortly after delivery
A solution for precise monitoring of railway cisterns positions.
A vehicle identification system for sales authorizing at petrol stations.
System elements:
Identification of vehicles, dispensers, and payments (cash/credit card)
Dispensers authorisation: sales control only to authorized vehicles
Supervision of the sales process
Cash flow reconciliation – monitoring discrepancies between the quantity of fuel sold by a pump man and the transaction value registered automatically
Vehicle tanks verification
User-friendly mobile application and convenient reports for managers
FuelPrime benefits from over 30 years of experience of AIUT engineers in the field of IoT, automation, and fuel management. We are ready to develop a dedicated solution for your station network or propose improvements in a logistics supply chain that will tailor to your needs and meet your expectations. Simply describe your requirements and we will return to you with our proposal.