OIL & CAPITAL. TANK MONITORING
The software "OIL & CAPITAL. TANK MONITORING" Reservoir monitoring "allows you to receive information on the status of each tank. The program receives this information from the measuring systems (level gauge).
The program displays the information both in tabular form and diagrammatically. In addition to all of these parameters, the program based on calibration tables calculates the volume and weight of oil and gas products and displays accounting and actual values. All measurements on a periodic predetermined base are stored in the database providing operator's monitoring of tank condition for any preceding time. Also, the program allows you to use the volume and weight determining mechanism for received and issued oil and gas products on the basis of automatic in-tank measurement. In this case, the operator captures takeoff data specifying the number of rail tank car and tank prior to discharge of oil or gas product to the tank. The program automatically determines the volume and weight of received oil products. Similarly, the program can determine the volume and weight of sold oil and gas products. Supported equipment:
Level gauges UIP 96-02 manufactured by IIT company (measurements of density, level, temperature, bottom water level);
Level gauges manufactured by Petro Vend.
It is possible to connect any other measuring system to the program at the request of the customer. The program maintains operations with the measuring systems from different manufacturers connected simultaneously.
The software "OIL & CAPITAL. MANAGER" is designed to view diagrams, reports and documents based on the information stored in the database of software package. This program is user-friendly for company's managers and employees of accounting, planning and economic departments, departments of foreign economic relations and the others since the interface of this program is simplified as much as possible to receive information and is not overloaded with a variety of other tasks and operations in contrast to the program "OIL & CAPITAL. ACCOUNTING". This program can be used for any number of workstations within the local network. To use the global Internet at workstations or to solve problems concerned with receipt of accounting information at geographically remote workstations it is recommended to use the report server and any Internet browser for user remote workstations instead of this program since the report server was originally designed to compress and minimize the information transmitted between user computer and database server providing the important factor under the conditions of limited speed of connection to WAN.
A short list of generated reports and documents is shown below.
WEIGHT REPORT OP ISSUE BY TTN INVOICES TO KEEPERS OVER A PERIOD WITH OP CLASSIFICATION
SERVICE INSTRUCTION REPORT OP ISSUE BY TTN INVOICES TO KEEPERS OVER A PERIOD WITH CLASSIFICATION BY DISCHARGE POINTS
SAMPLING REPORTS OP ISSUE BY TTN INVOICES TO THE KEEPERS
RAIL TANK CAR ACCEPTANCE CERTIFICATE CERTIFICATE OF QUALITY
DELIVERY AND ACCEPTANCE CERTIFICATE ACCEPTANCE OF OIL PRODUCTS
INCOME RECONCILIATION REPORT ACCEPTANCE OF OIL PRODUCTS WITH OP CLASSIFICATION
KEEPER RECONCILIATION REPORT ACCEPTANCE OF OIL PRODUCTS FROM KEEPERS
KEEPER RECONCILIATION REPORT (SIMPLIFIED) ACCEPTANCE OF OIL PRODUCTS FROM KEEPERS WITH OP CLASSIFICATION
INVOICE TEST REPORT
RAILCAR SCHEDULE CONTRACT PRICE SHEET
RAILCAR SCHEDULE BY KEEPERS INVENTORY TAKING ORDER
HANDLING SCHEDULE IN TERMS OF CONTRACTORS AND OP REGISTER OF STRICT ACCOUNTING BILLHEADS
HANDLING SCHEDULE IN TERMS OF INVENTORY AND CONTRACTORS REGISTER OF STRICT ACCOUNTING BILLHEADS BY KEEPERS
OIL PRODUCT HANDLING SCHEDULE REGISTER OF WAYBILL FORMS OF KEEPERS
HANDLING SCHEDULE BY KEEPERS IN TERMS OF CONTRACTORS AND OP WAYBILL AND INVOICE REGISTER SMGS AND GU-29-O
PRODUCT HANDLING SCHEDULE OF KEEPERS WAYBILL AND INVOICE REGISTER SMGS AND GU-29-O ISSUED TO KEEPERS WITH CLASSIFICATION BY INVENTORY
INVENTORY HANDLING SCHEDULE WAYBILL AND INVOICE REGISTER SMGS AND GU-29-O WITH CLASSIFICATION BY CONTRACTORS
INVENTORY HANDLING SCHEDULE (SIMPLIFIED) WAYBILL AND INVOICE REGISTER SMGS AND GU-29-O WITH CLASSIFICATION BY PRODUCTS
INVENTORY HANDLING SCHEDULE WITH CLASSIFICATION BY OIL PRODUCTS WAYBILL AND INVOICE REGISTER SMGS AND GU-29-O WITH CLASSIFICATION BY PRODUCTS AND DISCHARGE POINTS
INVENTORY HANDLING SCHEDULE OF KEEPERS WAYBILL AND INVOICE REGISTER SMGS AND GU-29-O WITH CLASSIFICATION BY DISCHARGE POINTS
INVENTORY HANDLING SCHEDULE OF KEEPERS WITH CLASSIFICATION BY OIL PRODUCTS WAYBILL AND INVOICE REGISTER SMGS AND GU-29-O WITH CLASSIFICATION BY DISCHARGE POINTS AND CONTRACTORS
RECEIVED INVENTORY SHEET WAYBILL AND INVOICE REGISTER SMGS AND GU-29-O WITH CLASSIFICATION BY CONTRACTORS
RECEIVED KEEPER INVENTORY SHEET WAYBILL AND INVOICE REGISTER SMGS AND GU-29-O ISSUED TO KEEPERS
RECEIVED INVENTORY SHEET BY KEEPERS WAYBILL AND INVOICE REGISTER SMGS AND GU-29-O ISSUED TO KEEPERS WITH CLASSIFICATION BY CONTRACTORS
DISCHARGE SHEET BY CONTRACTORS WAYBILL AND INVOICE REGISTER SMGS AND GU-29-O ISSUED TO KEEPERS WITH CLASSIFICATION BY PRODUCTS
DISCHARGE SHEET BY CONTRACTORS WITH OP CLASSIFICATION WAYBILL AND INVOICE REGISTER SMGS AND GU-29-O ISSUED TO KEEPERS WITH CLASSIFICATION BY PRODUCTS AND DISCHARGE POINTS
INVENTORY DISCHARGE SHEET WITH CLASSIFICATION BY CONTRACTORS WAYBILL AND INVOICE REGISTER SMGS AND GU-29-O ISSUED TO KEEPERS WITH CLASSIFICATION BY DISCHARGE POINTS
KEEPER INVENTORY DISCHARGE SHEET WITH CLASSIFICATION BY CONTRACTORS WAYBILL AND INVOICE REGISTER SMGS AND GU-29-O ISSUED TO KEEPERS WITH CLASSIFICATION BY DISCHARGE POINTS AND PRODUCTS
KEEPER DISCHARGE SHEET WITH CLASSIFICATION WITH CLASSIFICATION BY CONTRACTORS TN INVOICE REGISTER OF KEEPERS WITH CLASSIFICATION BY CONTRACTORS
DISCHARGE SHEET OF KEEPERS WITH CLASSIFICATION BY CONTRACTORS AND OP TN INVOICE REGISTER OF KEEPERS WITH OP CLASSIFICATION
OIL PRODUCT ACCEPTANCE SHEET TN INVOICE REGISTER OF KEEPERS WITH INVENTORY CLASSIFICATION
OIL PRODUCT ACCEPTANCE SHEET BY DELIVERY DATE TN-2 INVOICE REGISTER
OIL PRODUCT ACCEPTANCE SHEET WITH OP CLASSIFICATION TN-2 INVOICE REGISTER WITH CLASSIFICATION BY CONTRACTORS
OIL PRODUCT ACCEPTANCE SHEET OF KEEPERS TN-2 INVOICE REGISTER WITH CLASSIFICATION BY OIL PRODUCTS
OIL PRODUCT ACCEPTANCE SHEET OF KEEPERS WITH OP CLASSIFICATION TN-2 INVOICE REGISTER WITH INVENTORY CLASSIFICATION
OIL PRODUCT SHIFT HANDLING WITH CLASSIFICATION BY PRODUCT TYPES TTN INVOICE REGISTER WITH OP CLASSIFICATION
KEEPER OIL PRODUCT SHIFT HANDLING WITH CLASSIFICATION BY PRODUCT TYPE TTN INVOICE REGISTER WITH CLASSIFICATION BY CONTRACTORS
OP HANDLING BETWEEN TANKS TTN INVOICE REGISTER WITH CLASSIFICATION BY OP AND DISCHARGE POINTS
OP HANDLING BETWEEN TANKS OVER A PERIOD TTN INVOICE REGISTER WITH CLASSIFICATION BY DISCHARGE POINTS
KEEPER OP HANDLING BETWEEN TANKS TTN INVOICE REGISTER WITH CLASSIFICATION BY OIL PRODUCT AND DISCHARGE POINTS
KEEPER OP HANDLING BETWEEN TANKS OVER A PERIOD TTN INVOICE REGISTER WITH INVENTORY CLASSIFICATION
INVENTORY HANDLING TTN INVOICE REGISTER OF KEEPERS WITH CLASSIFICATION BY CONTRACTORS
INVENTORY HANDLING (SIMPLIFIED) TTN INVOICE REGISTER OF KEEPERS WITH OP CLASSIFICATION
KEEPER INVENTORY HANDLING TTN INVOICE REGISTER OF KEEPERS WITH CLASSIFICATION BY OP AND DISCHARGE POINTS
DIAGRAM OF OP HANDLING BETWEEN TANKS TTN INVOICE REGISTER OF KEEPERS WITH CLASSIFICATION BY DISCHARGE POINT
DIAGRAM OF OP HANDLING BETWEEN TANKS OVER A PERIOD TTN INVOICE REGISTER OF KEEPERS WITH CLASSIFICATION BY DISCHARGE POINTS AND OIL PRODUCTS
DIAGRAM OF OP HANDLING BETWEEN TANKS OF KEEPERS TTN INVOICE REGISTER OF KEEPERS WITH INVENTORY CLASSIFICATION
DIAGRAM OF OP HANDLING BETWEEN TANKS OF KEEPERS OVER A PERIOD OIL PRODUCT INVENTORY CHECK SHEET
SMGS DEBTORS
TANK MEASUREMENTS OVER THE SELECTED PERIOD TANK STATUS
REQUEST FOR EMPTY RAILCARS TANK STATUS OVER THE SELECTED PERIOD
OIL PRODUCT INVENTORY REGISTER FUEL STORAGE DEPOT STATUS OVER A PERIOD
ACCOUNT CARD OF KEEPER FUEL STORAGE DEPOT STATUS OVER A PERIOD (SIMPLIFIED)
SHEET OF OIL PRODUCT MEASUREMENT IN CRUDE OIL TANKS ACCORDING TO SSS
UNNING TIME OF ALS ENGINES OVER THE SELECTED PERIOD INVOICE (LABORATORY)
RUNNING TIME OF AUTOMATED LOADING SYSTEM ENGINES FROM THE LAST DATE OF MAINTENANCE (RF)
SHIPPING LIST CURRENTY STATUS OF FUEL STORAGE DEPOT
OP ISSUE BY TN-2 INVOICES
OP ISSUE BY TTN INVOICES OVER A PERIOD WITH OP CLASSIFICATION TTN-1
OP ISSUE BY TTN INVOICES OVER A PERIOD WITH CLASSIFICATION BY DISCHARGE POINTS NOTIFICATION FOR RAILWAY DISTRICT
In addition to viewing and printing the program allows you to export all reports to Microsoft® ExcelTM, Adobe® PDF, TIFF, Web files, CSV, XML and other files. Except for reports, the program creates a DBF files upon arrival and issue of oil, gas and other products for each shift.
The program allows you to upload the necessary information to external programs, such as "1C" and others.
The program allows you to create and print all necessary primary and accounting documents, and oil and gas quality documents required at the petroleum storage depots, gas-filling stations and goods depots.
The program along with the
whole complex "OIL & CAPITAL", is multi-user and supports the unlimited number of operator workstations.