VR202 - Reconciliation Report

The Reconciliation report provides a reconciliation of fuel deliveries, tank gauges and sales.

 

Field

Definition

Veeder-Root Site ID

Gilbarco Veeder-Root's site ID number.

Period

The period for which the report is generated.

Customer

The customer name and address.

Alternate Site ID

The alternate site ID number.

Site

The site name/address.

Tank

The tank number.

Label

The grade stored in the tank.

Pumps

The number of pumps on the tank.

Created

The date/time on which the report was generated.

Open Date/Time

Beginning date of report.

Close Date/Time

Ending date of report.

Open Stock

Opening stock in litres at the start of the day.

Deliveries & Tests

Cumulative deliveries and pump test for the day.

Metered Litres Through Pump(s)

Litres sold per tank.

Book Stock

Calculated in tank stock (open stock plus actual dip).

Actual Tank Dip

Physical tank dip (physical dip by tank gauge or manual dip).

Daily G/L

Daily gain or losses in litres (actual dip minus book stock).

%

Daily gain or loss represented as a percentage of sales (gain loss divided by metered litres).

Meter Sales Litres

Accumulative metered sales.

G/L Litres

Accumulative daily gain loss.

%

Accumulative daily gain or loss represented as a percentage of accumulative sales.

Water DIP CM

Water reading as per tank dip.

 

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