10 days inventory reconciliation report, Figure 12-18. manual totalizers report – example – Gasboy Fleet Head Office System User Manual
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Figure 12-18. Manual Totalizers Report – Example
12.2.3.9. 10 Days Inventory Reconciliation Report
The 10 Days Inventory Reconciliation Report displays wet stock balance data per tank and per day
for the ten days preceding the selected date.
To produce the report (see Figure 12-19), proceed as follows:
1. Select the
Station from the drop-down list
2. Select the
Start Date using the date and Time box
Table 12-9 provides a description of the report fields.
Table 12-9. 10 Days Inventory Reconciliation Report Fields
Field Name
Description
Open Date/Time
EOD starting date and time
Close Date/Time
EOD closing date and time
Opening Volume Tank stock at the opening inventory
point (A) as reported by TLG
Deliveries
Total deliveries as reported by TLG (B)
Metered Sales
Total volume dispensed in transactions (C)
Manual Adjust
Total sum of deliveries (positive values) and
transactions (negative values) manually
entered to the system (D)
Calculated
Inventory
Estimated stock based on the following
calculation: A+B-C +D
FMS and FHO User’s Manual - MDE-4821