Reconcile banking transactions
This enables you to manage the reconciliation of banking transactions – the part of the trade that the station manager has to pay to the owner of the network - in a neatly arranged way.
You can choose to do the reconciliation manually by comparing matching days and numbers, or you can choose to let the ICASA Energy Suite calculate this for you automatically.
There are now ‘open’ fields provided that allow you to manage metadata yourself. In the past, there were only the fixed fields.
You can now also manage the consumption of your electric recharging points via the ICASA Energy Suite next to the usual types of fuel. Would you like to know more about how this works? Please do let us know via email@example.com and we are more than happy to visit you to throw a light on this process.