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. |