Daily POS Close Reports for Every Site
Each site's daily POS close reports are now collected in Kii Tank Management, where they can be reviewed by date, checked for completeness, and downloaded as PDF.

At the end of each business day, the site’s POS produces a set of close reports: the official record of fuel, merchandise, and payment activity for that day. Collecting them usually means signing in to back-office systems one store at a time.
What Is New
- Close reports in one place — the day-level close reports received from each site’s POS are listed for any date range, with the time each one was received
- Completeness at a glance — each close shows the report sections it contains, and closes missing expected sections are flagged before reconciliation begins
- PDF download — any close can be downloaded as a single PDF covering all of its sections, from fuel and dispenser reports to department and network summaries

Why It Matters
Back-office teams can confirm that every site closed its day with complete data and retrieve the official figures without contacting the store, which shortens daily reconciliation across the network.
Related Features
More Updates
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Manage Fuel Prices From Request to Confirmation
Authorized users can now review each site's current fuel prices, submit price changes to the site's POS, and follow each change until the site confirms it has been applied.

Reconcile Deliveries Against the Bill of Lading
Deliveries on underground tanks can now be corrected to the Bill of Lading amount, and deliveries the tank gauge missed can be added from the BOL, with the original sensor value preserved.

Scheduled Reports and Sharper Analytics
Users can schedule their own tank inventory reports, organizations receive scheduled sales, inventory, and environmental reports, and the Fill Event and Potential Savings reports cover every tank category.