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Make fuel reconciliation a routine operating control.

Regular review is easier when teams compare approved funding and allocation context with activity records over a defined reporting period.

Review cycle

Reconcile consistently and investigate exceptions early.

The organisation should set its own accounting controls, while CAMS provides account records that can support operational and financial review.

Define the period

Review a consistent daily, weekly or monthly operating window.

Compare movements

Relate funding, allocations and recorded fuel activity in chronological context.

Resolve exceptions

Follow up missing context or unexpected movement while supporting records are current.

Next step

Continue with Glow Petroleum

Use account activity, statements and exports to support routine organisational fuel review and exception follow-up.