Capture deals, manage financial and settlement risk, schedule cargos, and generate invoices for both physical and financial deals for both international cargo and domestic lease crude transactions. Tracks all crude scheduling logistics and costs.
Record deal terms of refined oil product transactions. Manage and measure trading risk. Schedule cargos and track cargo and quality adjustment charges and fees.
Manage complicated LNG cargo valuation. Settle complex LNG cargos pricing formulas. Track all cargo and liquefaction costs and charges.
Capture deals traded through ICE and CME. Manage natural gas trading activities. Schedule and track transport and storage. Generate Invoices. Watch credit risks. Report mark-to-market risks. See retail load together with offsetting supply positions.
Capture standard product and hourly load-shaped transactions. Generate hourly power schedules. Settle bilateral and ISO deals. Track risk hourly or by standard product. Include retail load in positions.
Forecast and aggregate demand load. Apply load shaping factors like Attrition and product loss. Generate storage plan for Natural Gas. Allocate city-gate load to supply pools. Decompose risk. See positions as wholesale transactions.